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��EDITOR’S INTRODUCTION
The Wagner Forum for Undergraduate Research is an interdisciplinary journal which
provides an arena where students can publish their research. Papers are reviewed with
respect to their intellectual merit and scope of contribution to a given field. To enhance
readability the journal is typically subdivided into three sections entitled The Natural
Sciences, The Social Sciences and Critical Essays. The first two of these sections are
limited to papers and abstracts dealing with scientific investigations (experimental,
theoretical and empirical). The third section is reserved for speculative papers based on
the scholarly review and critical examination of previous works.
As has become a tradition, the fall edition commences with a reprint of the abstracts of
papers and posters presented at the Eastern Colleges Science Conference. The interested
reader will then encounter a research endeavor aimed at determining whether exposure to
low frequency oscillating electromagnetic fields (EMFs) can be used to excite a
hazardous response in the microorganism Staphylococcus aureus. Moving on, one will
explore the increased prevalence of cardiovascular disease in low socioeconomic
populations and see how nursing initiatives made through the Wagner College Port
Richmond Partnership are tackling this problem in one local community. This is
followed by an investigation into the Dakota Access Pipeline that calls to attention often
overlooked details. Be sure not to miss factors influencing school readiness and an
examination of the therapeutic effects of adult focused therapy for survivors of domestic
violence and human trafficking.
Read on and enjoy!
Gregory J. Falabella, Ph.D.
Editor-in-Chief
Editorial Board
Dr. Miles Groth, Psychology
Prof. Andy Needle, Art
Dr. Annemarie Dowling-Castronovo, Nursing
Dr. Donald E. Stearns, Biological Sciences
Dr. Lori Weintrob, History
��Section I: Eastern Colleges Science Conference1
Abstracts
3
The Effect of Listeria Monocytogenes on Amyloid Plaque Build Up
and Neurofibrillary Tangle Formation in the Brains of Adult
Zebrafish (Danio rerio)
Monica Cipriani
3
Traumatic Brain Injury as a Disorder of the Connectome
Merrysha Castillo, Dr. Nikolaos Ziogas, Dr. Vassilis E. Koliatsos
4
Fluoride in Groundwater in South Eastern Bangladesh
Regina Ismaili, Prof. Sarah Alauddin and Dr. Mohammad Alauddin
4
Grafting Organic Molecules to Metal Surfaces through the Reduction of
Aryl Diazonium Salts
Helema Tayeh, Anna Cios and Dr. Racquel C. DeCicco
5
In Vitro Antibacterial Activity of Essential Oils on Escherichia
coli, Pseudomonas aeruginosa, and Staphylococcus aureus
Alexis Dispensa
5
Computational Investigation of the Pyrolysis of Polyethylene
Lejla Bolevic and Domenick Palmieri
6
Detection of a MET Transcript in the Flatworm Girardia dorotocephala
Theresa Mustacchio and Dr. Jonathan Blaize
6
Characterizing the Role of O-GlcNAcylation in Cardiomyopathy:
Constructing a Transgenic Mouse Model
Anthony Tucker-Bartley, Dr. Olurotimi Mesubi, Dr. Mark Anderson
7
The Behavioral Effects of Caffeine on Zebrafish (Danio rerio)
Michelle DeTomaso
1
Papers and posters presented at the 70th Annual Eastern Colleges Science Conference held in
Springfield, MA on April 2, 2016.
�7
Gallyas Staining Method Used to Detect the Presence of Neurofibrillary
Tangles and Beta Amyloid Plaques After Traumatic Brain Injury in
Adult Zebrafish (Danio rerio)
Nicole Bell and Dr. Christopher Corbo
Section II: The Natural Sciences
Full Length Papers
11 The Effect of Oscillating Electromagnetic Fields on the Microorganism
Staphylococcus aureus
Shannon Cedeno
Section III: The Social Sciences
Full Length Papers
39 The Prevalence of Cardiovascular Disease in Port Richmond
Nicole Aylmer, Nada Metwally, and Robin Santoro
53 The Dakota Access Pipeline: Litigating the Dispute
Vanessa Dailey
Section IV: Critical Essays
Full Length Papers
79 Luca Pacioli, The Father of Accounting
Madison McNichol
88 Factors Influencing School Readiness
Cynedra Osinaike
111 Internalized Racism and Indoctrinated Religion: Alice Walker’s
“Convergence” and The Color Purple
Madison J. Ruff
�122 Thirty-Nine Million and Counting: The Role that Federalism Played
in the HIV/AIDS Crisis
Daniel S. Smith
130 Gregor Samsa and Marx’s Alienation of Labor
Rebecca Martin
138 Why Adults are Allowed to Say Children Are Best Kept Out of Sight
and Out of Mind: A Study on Adult Focused Therapy for Survivors of
Domestic Violence and Human Trafficking
Kelly Glenn
����The Effect of Listeria Monocytogenes on Amyloid
Plaque Build Up and Neurofibrillary Tangle Formation
in the Brains of Adult Zebrafish (Danio rerio)1
Monica Cipriani (Microbiology)
In this experiment, adult zebrafish were infected with L. monocytogenes to test its role in
neurodegeneration of brain tissue and build-up of both amyloid beta plaques and
neurofibrillary tangles. Following infection, the zebrafish were taken, anesthetized, and
brains were extracted at 24h, 96h, and 7 days. The Gallyas silver staining technique was
used to detect both neuropathological abnormalities after each brain was sectioned using
ultramicrotomy. Upon observation, an abundance of neurofibrillary tangles were seen in the
brain sections of each zebrafish however no amyloid plaques were seen in any of the brain
sections taken.
Traumatic Brain Injury as a Disorder of the Connectome2
Merrysha Castillo (Biology), Dr. Nikolaos Ziogas3, Dr. Vassilis E. Koliatsos4
Traumatic brain injury (TBI) is associated with a variety of primary and secondary lesions
such as contusions and diffuse axonal injury. Although diffuse axonal injury is by definition
a network problem contusions are viewed strictly as a focal pathology without the
consideration of related connections and circuits. Post-mortem human brains with
orbitofrontal contusions or diffuse axonal injury were examined immunohistochemically to
detect the presence of phosphorylated epitopes of heavy and medium-molecular weight
neurofilament proteins (NF-H/NF-M). Damaged neurons in interconnected neocortical,
limbic, and subcortical areas were marked. Large numbers of phosphorylated NF-H/NF-Mimmunoreactive, SMI 310 (+) neuronal cell bodies were found in the ventral group of the
lateral nucleus, specifically in the ventral anterior nucleus and ventral lateral nucleus of
thalamus for each contusion case. Neuronal cell bodies with p-NF (+) were also identified
in the hippocampus, but fewer were identified. In contrast, frontal sections did not show
Research conducted under the direction of Dr. Christopher Corbo.
Received an award of excellence for outstanding presentation.
3 Div. of Neuropathology Dept. of Pathology, Johns Hopkins University School of
Medicine (Baltimore, MD, 21205).
4 Div. of Neuropathology, Dept. of Pathology, Dept. of Neurology, Dept. of Psychiatry
and Behavioral Sciences, Johns Hopkins University School of Medicine (Baltimore, MD,
21205).
1
2
3
�any p-NF (+) cell bodies. In the diffuse axonal injury case, frontal sections showed robust
p-NF (+) cells throughout the cortex. After orbitofrontal contusion, transneuronal
degeneration is profound in the thalamus, but less so in the hippocampus, and none in the
interconnected frontal cortex. These investigations lay the foundations for elucidation of
the neuropathology of traumatic contusions and diffuse axonal injury on the basis of
impaired neocortical and limbic connectivity, and promote understanding of behavioral and
cognitive changes in patients with TBI.
Fluoride in Groundwater in South Eastern Bangladesh
Regina Ismaili (Chemistry), Prof. Sarah Alauddin (Chemistry and Physics) and
Dr. Mohammad Alauddin (Chemistry and Physics)
Fluoride in drinking water in excess of 1.5 ppm poses a health hazard. In Bangladesh flood
plains and part of table lands containing Holocene sediments are rich in arsenic bearing
minerals while the hill tracts containing Pliocene sandstone are not rich in arsenic minerals
but may be rich in fluoride, another toxic element. Our recent study involving analysis of
about 100 groundwater samples from hill tracts area revealed that 20 percent of samples
have fluoride (F-) levels much higher than the World Health Organization (WHO) guideline
value. Through our current study we are trying to characterize the fluoride bearing mineral
and understand the mechanism of mobilization of fluoride from these minerals.
Grafting Organic Molecules to Metal Surfaces
through the Reduction of Aryl Diazonium Salts
Helema Tayeh (Chemistry), Anna Cios (Chemistry) and Dr. Racquel C. DeCicco
(Chemistry and Physics)
Energy demands are increasing worldwide and the effects on the environment cannot be
overlooked. Recent developments in energy storage have involved the use of conducting
polymers as a means of electron transfer. Some applications of these conducting polymers
include lightweight and rechargeable batteries, light emitting diodes, sensors and molecular
electronics, among others. The reduction of diazonium salts is one of the known methods
for chemically modifying electrode surfaces. This is achieved by grafting molecular chains
onto the surface of materials through covalent bonding. Various monomers can be
employed to provide distinctive electronic properties. We explored the reaction of various
aromatic amines with nickel foam surfaces via diazonium chemistry. The reduction of aryl
diazonium salts allows for the grafting of different aryl groups on the metal surface. In the
4
�first step, several aromatic amines were added to an acidic medium, generating the
diazonium salt. Grafting was then achieved by simply dipping the metal into the salt
solution. Samples were analyzed using Scanning Electron Microscopy, with 4-bromoaniline
yielding the most significant visual surface change. Sonication served as an indirect method
of assessing surface modification, as the interaction between diazonium derived films and
metallic substrates are stable enough to withstand ultrasonic treatment, boiling in solvents,
and prolonged exposure to various temperature conditions.
In Vitro Antibacterial Activity of Essential Oils on Escherichia coli,
Pseudomonas aeruginosa, and Staphylococcus aureus5
Alexis Dispensa (Microbiology)
The oils of basil, cinnamon and oregano were tested against Escherichia coli, Pseudomonas
aeruginosa and Staphylococcus aureus using agar-well diffusion, broth dilution and agar
dilution methods to assess antibacterial activity. All extracts exhibited antibacterial activity,
with oregano having the most potent bactericidal properties followed by cinnamon and basil
having similar effects based on minimum inhibitory concentration and minimum lethal
concentration values.
Computational Investigation of the Pyrolysis of Polyethylene6
Lejla Bolevic (Chemistry) and Domenick Palmieri (Chemistry)
Knowledge of pyrolysis is crucial for the understanding of the chemistry behind polymer
combustion and flammability of plastics, which is vital to the scientific contributions
toward fire safety. Polyethylene, being the most common plastic, has been most frequently
involved in various kinetic studies consisting of different elementary reactions. Such
chemical processes have achieved considerable success in recent studies. Computational
research has been conducted on the pyrolysis of polyethylene with both methyl end groups
as well as CH2 radical end groups. Pyrolysis is the dissociation of bonds at high
temperatures in the absence of oxygen. However, the temperatures are high enough to
supply the energy needed to separate the bonds. We plan to computationally investigate the
dissociation of various polyethylene chains at multiple temperatures to study the
dissociation of the chains themselves. The dissociation of C-C bonds in various
polyethylene chains were studied using reactive molecular dynamics simulations in
vacuum. Three types of polyethylene chains were simulated under both constant density
and constant pressure. These chains consisted of 500 molecules of PE-1 (ethane), 250
5
6
Research conducted under the direction of Dr. Kathleen Bobbitt.
Research conducted under the direction of Dr. Arun Sharma.
5
�molecules of PE-2 (butane), and 200 molecules of PE-2.5 (pentane). These polyethylene
chains ended in methyl groups rather than leaving the terminal carbon as a radical. We will
report rate constants and mechanistic details for the pyrolysis of molecules under
investigation.
Detection of a MET Transcript in the Flatworm Girardia dorotocephala
Theresa Mustacchio (Biology) and Dr. Jonathan Blaize (Biological Sciences)
Regeneration is a multi-faceted process by which organisms recruit stem cells to repair or
replace compromised tissue. In humans this process is limited, however, planaria have the
ability to recover from as little as 1/300 of their body. The proto-oncogene MET is involved
in cell proliferation, motility and growth in mammalian tissue capable of self-repair, though
a homolog has not yet been identified in flatworms. Our preliminary data suggest that a
protein homolog of MET is expressed by Girardia dorotocephala and new evidence of a
mRNA homolog in the same species corroborates this finding.
Characterizing the Role of O-GlcNAcylation in Cardiomyopathy:
Constructing a Transgenic Mouse Model
Anthony Tucker-Bartley(Biology), Dr. Olurotimi Mesubi7, Dr. Mark Anderson8
Cardiac disease is currently one of the leading causes of mortality in the United States. The
onset and proliferation of cardiomyopathy is influenced by the co-morbidity of disease such
as diabetes. Prior research suggests that O-GlcNAcylation, a form of glycosylation, is
increased in individuals who suffer from diabetes. The two enzymes controlling this
process, O-GlcNAc Transferase (OGT) and O-GlcNAcase (OGA) have become targets of
genetic engineering in order to study the relationship between altered O-GlcNAcylation and
the emergence of disease. This paper describes the process of Mark Anderson’s research
group at Johns Hopkins University School of Medicine cloning the human variant of OGT
and OGA into a mouse expression vector with the ultimately goal of developing a
transgenic mouse to study in vivo dysregulation of O-GlcyNAcylation. The Anderson lab
developed two unique plasmid constructs of OGT and OGA containing a Myc epitope tag
and His epitope tag respectively to subsequently measure gene expression. Due to their
7
Basic Science Institute, Johns Hopkins University School of Medicine, Baltimore, MD,
21205.
8 Basic Science Institute, Johns Hopkins University School of Medicine, Baltimore, MD,
21205.
6
�interest in heart related diseases, the Anderson Lab aimed to localized gene expression to
cardiac specific tissue by cloning both genes into their own mouse alpha myosin heavy
chain expression vector. Successful creation of the two constructs was followed by external
submission of each vector for microinjection into embryonic cells.
The Behavioral Effects of Caffeine on Zebrafish (Danio rerio)9
Michelle DeTomaso (Biology)
Caffeine activates dopamine by acting as an antagonist on adenosine receptors and affects
behavior by increasing locomotion indirectly through this mechanism. Caffeine affects
zebrafish (Danio rerio) in various ways, such as increasing latency to explore the top of the
tank, reduced time on top of the tank, erratic swimming and increased freezing time. This
study aimed to test adult zebrafish under an acute condition of caffeine exposure. Each fish
was tested for forty seconds in a 0.008% concentration of caffeine or a control (no caffeine).
Their activity levels were quantified by counting the number of lines crossed on a grid using
digital videos. There was a significant difference between the control and the treatment
groups. The number of times crossed over for the treatment group ranged from 0-65 while
the control varied from 23-110. The treatment group had three trials where the zebrafish
crossed zero lines, which does not support the hypothesis that the zebrafish would have more
erratic and active behavior. Other studies have tested varying concentrations of caffeine
which had a more dramatic result. We will also test a higher concentration (8%). The
concentration of the caffeine along with the differences in anxiety levels between wild type
and mutant strains may affect the data.
Gallyas Staining Method Used to Detect the Presence of
Neurofibrillary Tangles and Beta Amyloid Plaques After
Traumatic Brain Injury in Adult Zebrafish (Danio rerio)10
Nicole Bell (Microbiology) and Dr. Christopher Corbo (Biological Sciences)
Previous work has focused on detection and documentation of cell survival, migration and
reorganization after brain injury and the proliferation of the embryoid-like structures within
the optic tectum explants. The goal of this study was to determine the presence of
neurofibrillary tangles and beta amyloid plaques after traumatic brain injury is induced. It
9
Research conducted under the direction of Dr. Brian Palestis
Received an award of excellence for outstanding presentation.
10
7
�has been shown that brain damage makes patients more prone to various forms of dementia,
which itself is often linked to the presence of neurofibrillary tangles and amyloid beta. The
presence of neurofibrillary tangles and beta amyloid plaques were identified in surviving
zebrafish optic tectum maintained in organotypic culture. Morphological data was collected
after one day, four day and seven days in culture. The detection of these pathologies was
made using Gallyas silver staining method and thioflavin t fluorescence microscopy. This
allows for the confirmation of neurofibrillary tangles and beta amyloid plaque presence.
Additionally, the presence of these neuropathologies were analyzed using transmission
electron microscopy.
8
���The Effect of Oscillating Electromagnetic Fields
on the Microorganism Staphylococcus aureus
Shannon Cedeno (Microbiology)1
This research aims to determine whether the exposure to low frequency oscillating
electromagnetic fields (EMFs) can be used to excite a hazardous response in the
microorganism Staphylococcus aureus. The microorganism was exposed to the EMFs at
25 Hz, 50 Hz, 100 Hz, 150 Hz, and 250 HZ, to potentially initiate a resonant response
delivering enough energy to the bacteria to create detrimental electrochemical imbalances
within the cell. Colony forming units per mL (CFU/mL) of exposed and control cultures
were determined for each frequency. The fields that had the most effect on the organism
were those oscillating at the frequencies 25 Hz and 250 Hz. At 25 Hz, S. aureus’ growth
was diminished while at 250 Hz the organism’s growth was stimulated. Microscopic
analysis showed potential cell wall disruption within the organisms at both frequencies.
Currently the effects on the S. aureus can only be hypothesized, and further research is
needed.
I. Introduction
Characteristics of Staphylococcus aureus
Staphylococcus aureus is a gram positive, nonmotile, non-spore forming,
facultative anaerobe which belongs to the Micrococcaceae family (Granato et al. 2014).
Micrococcaceae tend to not be pathogenic to humans but are often problematic within the
food industry. Staphylococcus aureus, when in comparison to other Staphylococcus
species, including Staphylococcus epidermidis, and Staphylococcus saprophyticus, is the
most virulent (Granato et al., 2014). The microbe is coagulase positive, meaning it
produces hemolysins, or proteins, capable of coagulating human serum (Evans, 2013).
While researchers remain unsure why the organism has the capability to coagulate blood,
the microorganism can be easily determined from the other Staphylococcus species
because of this characteristic (Evans, 2013). Staphylococcus aureus are cocci that are
often seen in grape-like, cluster formations. From an epidemiological standpoint, S.
Written under the direction of Dr. Kathleen Bobbitt and Dr. Gregory Falabella in partial
fulfillment of the Senior Program requirements.
1
11
�aureus survives clinically undetected within 30% of the population, belonging within the
normal flora of the host’s epidermis and nasal cavity (Tong, et. al, 2015). Being an
opportunistic pathogen, the once harmless organism can become pathogenic under the
appropriate conditions.
Staphylococcus aureus is often isolated using the selective and differential
media, mannitol salt agar. The agar typically consists of 7.5 % NaCl, mannitol, and the
indicator phenol red, for the isolation and identification of most S. aureus strains
(Granato et al., 2014). With the presence of S. aureus, as opposed to other
Staphylococcal species, the once red agar turns yellow in response to the fermentation of
mannitol (Granato et al., 2014). Because of the fermentation of mannitol, an acidic
byproduct is formed, causing a change in pH indicated by the phenol red, which in turn
changes the color of the agar to yellow (Granto et al., 2014).
Virulence Factors of Staphylococcus aureus
Staphylococcus aureus produces various toxins and enzymes that cause harm to
the infected host. Strains of S. aureus expel poisonous proteins such as enterotoxins that
are extremely harmful to the host (Granato et al., 2014). Enterotoxin, if found in
contaminated food, results in the toxic effect of nausea, vomiting and diarrhea, which is
the result of severe gastroenteritis or staphylococcal food poisoning (Granato et al.,
2014). Through past analysis of the organism, it was determined that specific strains of
S. aureus produce enterotoxins A and D, both of which are resistant to the gastrointestinal
acid of human stomachs (Evans, 2013). Another enterotoxin, enterotoxin F, or TSST-1,
has been associated with thousands of cases of Toxic Shock Syndrome, the disease which
is often seen in correlation with menstruating women and super absorbent tampons
(Granato et al., 2014). Staphylococcus aureus, also has the capability of producing
hyaluronidase, an enzyme which degrades hyaluronic acid, allowing for the movement
throughout connective tissue and the further spread of infection (Granato et al., 2014).
The opportunistic pathogen is commonly seen within the population, resulting in
minor skin infections such as pimples, boils, and highly contagious rashes such as
impetigo (Granato et al., 2014). With the combination of both enzymes and toxins, S.
aureus has the capability to cause severe harm to its host. Some serious systemic
infections that are caused by S. aureus are pneumonia, meningitis and endocarditis, each
of which can result in death (Granato et al., 2014). Staphylococcus aureus is an organism
that should not be left untreated because of the serious infections that can result from the
once harmless opportunistic pathogen.
12
�Prevalence in Nosocomial and Community Acquired Infections
When the host’s immune system is compromised, Staphylococcus aureus can
cause many infections to both the skin and other organs which is problematic within both
health care and community settings. Nosocomial, or healthcare acquired, outbreaks
commonly related to S. aureus infections have been reported in both acute and chronic
care settings (Evans, 2013). High risk areas within the hospital setting include areas in
which patients are extremely immunocompromised. These areas include burn units,
nurseries, dialysis units, intensive care units, transplantation units, and oncology units
(Evans, 2013). Nosocomial infections are also a result of the host's response to normal
flora. Because of the suppression of the host’s innate immune response, changes within
the anatomical barriers, such as breaking of skin from surgical or accidental trauma,
which once protected the host from infection now becomes compromised (Evans, 2013).
As stated, immunosuppressed patients are at high risk of S. aureus infections because
hospital staff is also at fault for nosocomial outbreaks. Because of insufficient
handwashing and proper donning and doffing techniques by clinical professionals
between patients, the organism is easily transferred to immunocompromised patients
within the healthcare facility.
Nosocomial Staphylococcus aureus infections have been an issue for decades,
yet community acquired S. aureus infections have recently become problematic
especially within urban, low income areas. A retrospective case study done by Huang et
al. (2006), focused on community acquired strains of S. aureus. It was concluded that
community acquired S. aureus is predominantly associated with skin and soft tissue
infections (Huang et al., 2006). The easily transferable infection is often seen in
intravenous drug users, a reservoir of community acquired S. aureus, and can be
transmitted within the community through close contact (Huang et al., 2006). Other
increased risk factors of community acquired infections of S. aureus are typically
associated with poor hygiene, age, and the HIV-infected population (Tong et al., 2015).
Staphylococcus aureus infections and Antibiotic Resistance
Throughout the years, outbreaks and epidemics of Staphylococcus aureus have
been witnessed in diseases such as staphylococcal diarrhea and staphylococcal
pneumonia (Granato et al., 2014). Currently the most prevalent issue with S. aureus
today is methicillin resistant Staphylococcus aureus (MRSA) (Evans, 2013). Because of
the over-prescription of antibiotics, strains of S. aureus have been able to adapt and
13
�become resistant to the once effective form of treatment (Evans, 2013). While new
antibiotics are constantly in development, organisms such as S. aureus have the ability to
become resistant to multiple microbial agents (Granato et al., 2014). Methicillin resistant
Staphylococcus aureus (MRSA) is thought to be most commonly associated with
healthcare settings, but emerging strains are being isolated within the community as well.
Both nosocomial and community acquired strains of MRSA are slightly different.
Community acquired MRSA is currently more susceptible to antibiotics in comparison to
nosocomial strains, but resistance continues to rise (Granato et al., 2014).
To this day, nosocomial MRSA, a globally prevalent issue within hospitals, has
been treated with the antibiotic vancomycin (Granato et al., 2014). Recent studies show
that the once susceptible strain of MRSA has become resistant to its past form of
treatment (Granato et al., 2014). Vancomycin resistant Staphylococcus aureus (VRSA) is
now another complication with treating S. aureus infections. Currently, antibiotic
resistance is a serious topic in both microbiology and healthcare. While the production of
antibiotics continue to thrive, microorganisms continue to become resistant. This
distressing concern has prompted clinicians and researchers to study and promote new
methods for eliminating microorganisms. This research studies the effects of exposure to
oscillating electromagnetic fields in hope to find a potential new method for treating S.
aureus infections.
Electromagnetic Fields
Continuous advancements in microbiology are being constantly discovered and
manufactured to fight the ongoing issue of antibiotic resistance. Electromagnetic fields
have been used in previous research to stimulate or inhibit the growth of prokaryotic
cells. Studies show that when an external electromagnetic field is applied to cells, it
generates a cellular response (Panagopoulos et al., 2000). The idea behind this research
is a hypothesis entitled electromagnetic pollution and is seen constantly within our
society (Panagopoulos et al., 2000). The hypothesis is often seen throughout media and
news coverage, concerning the possible health effects caused by the exposure of
electromagnetic fields radiating from electronic devices such as cell phones and
transmission lines (Garip et al., 2011). Electromagnetic pollution suggests that
oscillating electric fields will exert a force which effects the permeability of the ionic
channels within the membrane (Fojit et al., 2003). The exposure from the oscillating
electromagnetic fields would potentially exert upon the organism forced vibrations, based
14
�upon the specificity of its natural frequency ultimately leading to detrimental
electrochemical imbalances necessary for survival (Panagopoulos et al., 2000).
Resonance
The atoms and molecules of all objects above absolute zero are in constant
motion. The frequency at which they oscillate in the absence of external forces is known
as the natural frequency. When energy is delivered to a system by a non-steady, external
force the response depends upon the relationship between the driving frequency and the
natural frequency. A succession of small impulses applied close to the natural frequency
can have a significant effect (Halliday and Resnick, 1977).
Ultimately, the goal of exposure to the oscillating wave is to promote forced
vibrations up to the critical value within the cell, resulting in false signaling of
transmembrane channels (Fojt et al., 2003). The free ion gradient that cells generate is
fundamental for metabolic processes within the cell. With improper gradients produced
in response to the oscillations, the cell will ultimately die (Bayir et al., 2013). The free
ions located on both sides of the plasma membrane and the inner cell membranes,
including K+, Na+, Cl-, and Ca2+ control the cell volume by regulating the osmotic
pressure within the cell and other metabolic processes (Panagopoulos et al., 2000).
Hypotheses promote the idea that electromagnetic fields will stimulate ion influx through
the cell membrane generating a potential difference, or voltage, between both sides of the
membrane (Panagopoulos et al., 2000). Past research also suggests that the exposure to
electromagnetic fields could potentially enhance free radical production, promote
oxidative stress upon the cell, and genetically mutate the microorganisms’ DNA (Bayir et
al., 2013).
Previous Research of Electric Fields on Cells
The use of electromagnetic fields in microbiology made an entrance into
scientific journals in 1961 with the work of biologist, Barnett Rosenberg (Kennesaw,
2008). His area of study focused on the in-depth process of cell division and mitosis.
Rosenberg hypothesized that the shape of the cell during mitosis was due to an induced
dipole (Kennesaw, 2008). Rosenberg expanded upon his theory by exposing the dipole to
electromagnetic radiation of a resonant frequency, in order to observe the effects of the
cell after absorption (Kennesaw, 2008). Because of his interest in mitosis, Rosenberg’s
goal was to focus on eukaryotic cells. When testing the continuous exposure apparatus
15
�that was created to expose the cells to an external electromagnetic field, Rosenberg chose
to use the prokaryote Escherichia coli. (Kennesaw, 2008).
The apparatus consisted of two chambers in which the Escherichia coli was
placed and stored at a controlled temperature of 37° C. After determining the steady state
of the continuous culture (approximately 10 days after inoculation), Rosenberg exposed
the culture to an audio oscillator which provided the sinusoidal voltages, which were
amplified by an amplifier to create the desired field within the chambers (Kennesaw,
2008). After one hour of exposure to the oscillating electromagnetic field, the turbidity
decreased within the culture, and after two hours, the turbidity was almost completely
gone (Kennesaw, 2008). Once the voltage was turned off, after eight hours, the turbidity
levels returned back to their original density (Kennesaw, 2008).
Since 1961, there have been many advancements and research initiatives within
the field of biophysics, specifically with the idea of using oscillating electromagnetic
fields for its antimicrobial properties. Some successful examples include Fojt et al.
(2004) and Garip et al. (2011). Fojt et al. (2004) observed decreased growth in three
organisms, Escherichia coli, Leclercia adecarboxylata, and Staphylococcus aureus when
exposed to an oscillating electromagnetic field at 50Hz. Garip et al. (2011) showed that
when exposed to extremely low frequency electromagnetic fields (ELF-EMF), both the
gram positive and gram negative bacterial growth rates were slowed and morphological
changes were ensued in comparison to the control cultures. When analyzed microscopy
via transmission electron microscopy, morphological changes consisted of disintegration
of the cell wall, expulsion of the cytoplasm from the cell, clumping of the cytoplasm, and
the overall standard shape of the microorganism changed (Garip et al., 2011). By
exposing S. aureus to similar ELF-EMF, this research aims to find a resonant frequency
which will excite a hazardous response within S. aureus to ultimately diminish the
ongoing clinical issue and relevance of antibiotic resistance.
Objective
The objective of this research was to expose the microorganism Staphylococcus
aureus to extremely low frequency oscillating electromagnetic fields (EMFs) to excite a
hazardous response within the cell. Exposure to the EMFs would potentially initiate a
resonant response delivering enough energy to the bacteria to create detrimental
electrochemical imbalances while leaving the surroundings unaffected. Currently,
targeted frequencies that could excite a resonant response in S. aureus are unknown, but
this research should shed light on potentially hazardous frequencies. Electromagnetic
16
�control of S. aureus is the first step towards a potential alternative to the pharmacological
approach and the need for antibiotics.
II. Materials and Methods
Collection and Storage of Staphylococcus Aureus
The microorganism, Staphylococcus aureus was purchased from DIFCO. The
organism used was Staphylococcus aureus Bactrol Disks, ATCC #25923, and was
retrieved from the Wagner College Department of Biological Sciences. The disks were
stored in a controlled environment at 2- 8 ° C. The microorganism was placed into
nutrient broth and incubated at 37 ° C. Once cultured, it was plated directly on mannitol
salt agar and incubated at 37° C for 24 hours. When visible colonies were formed, the
plate was sealed with parafilm and placed in the refrigerator for storage and continued
use.
Mannitol Salt Agar
Carolina® mannitol salt (lot#160602021906) was made for the selective
isolation and differentiation of Staphylococcus aureus. The broth powder consisted of
approximately 5.0 g of enzymatic digest of casein, 5.0 g of meat peptone, 1.0 g of beef
extract, 75.0 g, 10.0 g of D- mannitol, phenol red, .025 g of sodium salt, and 15.0 g of
agar, per 1L of water. The agar was made by suspending 111 g of the medium into 1 L of
purified water. The mixture was then heated and stirred until completely dissolved.
After, the mixture was then autoclaved on a wet cycle for 15 minutes at 121° C. After
sterilization was complete, approximately 20 ml of agar was pour-plated. The mannitol
salt agar was used multiple times throughout the experiment, for its major purpose of
cultivating S. aureus.
Nutrient Broth
Difco™ nutrient broth, Lot number 0089012, was made for the cultivation of
Staphylococcus aureus for the analysis of its growth phase. The broth powder consisted
approximately of 3.0 g of beef extract, and 5.0 g of peptone, per 1L of water. Eight
grams of pre-made broth powder were suspended into 1 L of purified water. The mixture
was heated and stirred with frequent agitation for approximately five minutes, and boiled
for one minute. The broth was then autoclaved on the wet cycle for 15 minutes at 121°C.
17
�Spectrophotometer
The spectrophotometer which determined the optical density within a sample
was a Spectronic 20D+ manufactured by ThermoSpectronic. The spectrophotometer was
used to determine the growth phases of Staphylococcus aureus over time. Specifically,
the log phase was desired for experimentation. The reason for determining the log phase
for experimentation was to know that the microorganism was at an optimal growth rate
with no other reason for potential death, such as nutrient expulsion. Before use, the
spectrophotometer was turned on, because it required 15 minutes of warm-up time. The
wavelength used was 600 nm.
Approximately 14 minutes after turning on the spectrophotometer, previously
isolated Staphylococcus aureus was inoculated into a labeled and sterilized nephelo flask
filled with 10 ml of nutrient broth, while another sterilized nephelo flask filled with 10 ml
of pure nutrient broth acted as a blank. Once the spectrophotometer was ready for use,
the wavelength was set to zero. The mode was then switched to absorbance, and the
blank nephelo flask was carefully inserted into the spectrophotometer. The 100% T was
then set to zero, and the blank was removed. The nephelo flask containing S. aureus was
inserted, and the optical density reading was recorded. Spectrophotometer readings were
taken every two hours and the optical density readings were recorded from 11:30 am until
9:30 pm, and recorded once again at 11:30 am the following day. The spectrophotometer readings were duplicated to ensure accuracy. It was determined, after
graphical analysis, that the log phase began approximately eight hours (figure1).
Figure 1: Spectrophotometer readings of Staphylococcus aureus over a nine hour period
at a 600 nm wavelength.
18
�Mannitol Salt Broth
The HIMEDIA mannitol salt broth (MSB), REF # M383-500G was made as per
manufacturer guidelines in order to isolate Staphylococcus aureus. The broth powder
consisted of 10 g of protease peptone, 1 g of meat extract B#, 75 g of sodium chloride, 10
g of D-mannitol, and 0.025 g of phenol red. The broth was made by suspending 96.02 g
in 1000 ml of distilled water. The broth was then heated and stirred for approximately 5
minutes, until completely dissolved. After heating, 10 ml of broth was pipetted into
small test tubes. The filled tubes were then autoclaved for 15 minutes on a wet cycle, at
121° C, to ensure sterilization. The sterilized MSB tubes were then stored capped for
future experimental use. At the start of experimentation, a colony from the stored,
refrigerated MSA plate harboring S. aureus was picked up via an inoculating loop and
placed into two mannitol salt broth test tubes - one labeled test and one labeled control,
and placed in the incubator set at 37° C. After eight hours, the tubes were removed from
the incubator and placed into the oscillating electromagnetic field.
Oscillating Electrical Field
A Goldstar FG-2002C Frequency Generator2 (figure 2) was used to initiate a
sinusoidally varying voltage output in the frequency range 25-250 Hz. The signal was
then amplified using a seven watt oscillator amplifier (figure 3) purchased from Sargent
Welch (item#CP36891-10). Next the voltage was stepped up using a transformer made
up of a 200-turn coil and a 3200-turn coil placed on a U-shaped iron core (figure 4).
These items came from the SF-8617 complete coil set from Pasco Scientific.
Figure 2: The function generator used to initiate the sinusoidally varying voltage.
2
Note that the GoldStar corporate name was changed to LG Electronics in 1995.
19
�Figure 3: The oscillator amplifier used to boost the signal.
Figure 4: The transformer that further stepped up the voltage.
The enhanced voltage was sent from the transformer to two steel 175 cm2 parallel plates
separated by 4 cm to create the oscillating field. The plate capacitor used was
manufactured by American 3B scientific (item#CP-U30040). It proved quite useful as it
kept the plates aligned and allowed one to slide the plates for easy loading and unloading
(figure 5).
20
�Figure 5: The parallel plates used to create the field.
A handcrafted wooden apparatus was used to hold the test tubes containing the
specimen stably in the field. To keep the bacteria at a constant 37° C during the
experiment, the parallel plate apparatus was placed in a VWR 15000E Science Education
incubator (figures 6 and 7) manufactured by Sargent-Welch (item# WLS43668-20).
Figure 6: The incubator
21
�Figure 7: Plate capacitor with the test tube stabilizing apparatus within the incubator
before initiating testing. See above with MSB tubes, one being tested within the field and
one acting as a control.
Calibration and Testing of the Electronic Equipment
The incubator has a graduated manual dial marked with 10 major and 50 minor
increments. The appropriate temperature for optimal growth of Staphylococcus aureus,
37° C, was achieved when the dial was placed on setting five. Daily testing with a real
time digital interface (Pasco Xplorer GLX PS-2002) and stainless steel probe connected
to a temperature sensor (Pasco PS-2125), for data acquisition, ensured a stable
temperature. The wires attaching the plate apparatus to the power source amplifier and
transformer were sealed within the incubator through the suction closure of the incubator.
In order to ensure a desired rms voltage of 80 volts yielding an electric field
strength of 2000 V/m, an Edmund Scientific's Dual Range AC Voltmeter was connected
to the parallel plates each time before placing them inside the incubator. To obtain
confirmation that the voltage was in the form of a true sine wave, the signal from the
function generator was sent to an oscilloscope (Pasco Scientific SB-9699).
22
�Exposure to Oscillating Electrical Field
After eight hours, the inoculated MSB tube was removed from the incubator and
transferred into the test tube holding apparatus that existed between the parallel plates of
the electric field apparatus. The incubator was shut and the function generator was
switched on to the appropriate frequency. The frequencies used during experimentation
consisted of 25 Hz, 50 Hz, 100 Hz, 150 Hz, 200 Hz, and 250 Hz. After 24 hours, the
tubes were removed and plated on mannitol salt agar plates via the serial dilution method.
Results were recorded 24 hours after plating.
Serial Dilutions
Both the control and the test MSB tubes were diluted up to 10 -8 via serial
dilutions. Dilutions required sterilized water blanks, eight tubes per MSB tube, totaling
16 test tubes per frequency. Following appropriate aseptic technique, 1 ml of cultivated
and exposed MSB was pipetted into 9 ml of sterilized water (10-1). After manually
mixing the totaled 10 ml of broth and sterilized water, 1 ml was then taken from the
solution and placed in a new sterilized 9 ml water blank (10-2). This process was
repeated until the 10-8 dilution was reached. After completing the serial dilutions, 1 ml of
10-6, 10-7, and 10-8 of both the test and control cultures were individually plated on
Mannitol Salt Agar and incubated for 24 hours at 37 ° C. Colonies were then counted and
analyzed for electromagnetic effects. Frequencies with promising results, which included
25 Hz, 50 Hz, and 250 Hz were chosen for further testing. Each promising frequency was
tested and plated two more times each, and the average colony forming units per mL
(CFUs/mL) were calculated.
Gram Stain and Microscopy
After analyzing plate counts and color changes in the MSB tubes, two
frequencies consisting of 25 Hz and 250 Hz were chosen for further analysis.
Staphylococcus aureus were exposed for 24 hours to the electromagnetic field at both 25
Hz and 250 Hz. Immediately after exposure, the organisms were gram stained and
analyzed microscopically with an Olympus BX 40 at 100x magnification. Using the
ToupView camera control software on a Windows operating system, pictures were taken
of both the control and exposed cultures.
23
�III. Results
Trial 1 Exposure of Staphylococcus aureus to the Oscillating Electromagnetic
Field at 25 Hz, 50 Hz, 100 Hz, 150 Hz, 200 Hz and 250 Hz
After the exposure of Staphylococcus aureus to the electromagnetic field at 25 Hz, 50 Hz,
100 Hz, 150 Hz, 200 Hz, and 250 Hz, the culture was removed from the field, serially
diluted, and plated to determine colony forming units per 1 mL (CFU/mL). Based on the
colony counts, analysis of the color change in the mannitol salt broth tubes, and a
literature search, it was decided to proceed forward with additional trials at 25 Hz, 50 Hz,
and 250 Hz. Figure eight shows the first trial results for all the tested frequencies
Figure 8: Line graph depicting CFU/mL per plated dilution of the first trial of tested
cultures and control cultures of frequencies all tested frequencies.
The exposure of Staphylococcus aureus to an oscillating electromagnetic field at
25 Hz showed promising results. It appeared that the growth of the organism was
decreased in comparison to the control culture. This favorable result was accompanied
with an abnormal indication within the mannitol salt broth tubes. The test culture
remained red, an indication that the fermentation of mannitol did not transpire. The
control culture turned bright yellow in response to the sugar fermentation, which is a
prominent characteristic of S. aureus. The aforementioned potential electromagnetic
24
�effects stimulated by the oscillating field at 25 Hz, contributed to the decision to progress
into further trials using this frequency.
The effects on Staphylococcus aureus during the first trial of using a 50 Hz
electromagnetic field yielded unexceptional results. The colony counts were
indistinguishable between the first two plated dilutions, both exhibiting greater than 300
colonies each (TNTC). When further diluted (10-8), the test culture showed slightly less
growth than the control. Similar colony counts for both the test and control cultures
potentially indicated minimal electromagnetic impact on the organism. The use of an
oscillating electromagnetic field at 50 Hz to inhibit the growth of S. aureus has been
noted in multiple research articles, and because of this past success, it was decided to
continue trails using this frequency.
Inconclusive results were obtained during the exposure of Staphylococcus
aureus to the oscillating electromagnetic field at 100 Hz. The control at the 10-6 dilution
had an abundant amount of growth totaling 160 colonies or 1.6 X 108 CFU/mL while the
test sample exhibited 3.6 x 107 CFU/mL. As the dilutions continued, plate counts showed
similar amount of growth as depicted in the graph, but this varied unfavorably when
diluted further. At the 10-8 dilution, the CFU/ml was much greater for the test (1.5 X 109
CFU/mL) than the control (2.0 x108 CFU/mL), rendering the results inconclusive. The
oscillating field exposure at the frequency of 150 Hz, yielded initial dilutions (10-6 and
10-7) with similar colony counts for both the test and control cultures. As the dilutions
continued, the test culture expressed no visible growth at the final dilution, while the
control had an abundant amount of growth totaling 9.0 x108 CFU/mL. The results for this
frequency remain inconclusive because of the inconsistent final dilution of the test
culture.
Post exposure to the electromagnetic field oscillating at 200 Hz, the test culture
exhibited an abundant amount of growth in comparison to the control culture. After
colony counts were determined, the test culture exhibited 2.7 X 108 CFU/mL, 2.7 X 108
CFU/mL, and 1.1 x 109 CFU/mL at each plated dilution, while the control culture had 6.2
X107 CFU/mL, 3.9 X108 CFU/mL, and 7.0 X 109 CFU/mL per plated dilution. When the
frequency increased to 250 Hz, results indicated the potential inhibition growth. Similar
to what was seen at the 25 Hz trial, mannitol fermentation was inhibited in the test
culture. The aforementioned potential electromagnetic effects stimulated by the
oscillating field at 250 Hz, contributed to the decision to progress into further trials using
this frequency.
25
�The inconsistencies and unfavorable outcomes associated with the 100Hz,
150Hz, and 200Hz trials lead to the decision to proceed further with trials using an
oscillating electromagnetic field at 25 Hz, 50 Hz, and 250 Hz.
Three Trials of Exposure to the Oscillating Electric field at 25 Hz
As previously stated, when cultures were exposed to the electromagnetic field
oscillating at 25 Hz, the test cultures lacked the ability to ferment mannitol within the
broth tubes, ultimately indicated through the unchanged pH (Figure 9). The averaged test
cultures post exposure to the field oscillating at 25 Hz, indicate potential electromagnetic
control on the organism. The test cultures grew less than the control (Figure 10), with
results consisting of 2.12 X108 vs. 2.45 x108, 1.30x109 vs 2.03 x 109, 6.53 x 109 vs 1.46 X
1010. For visual analysis, figure 11 shows the diluted test and control cultures from the
second trial plated on mannitol salt agar. The diluted control culture exhibits an abundant
amount of growth in comparison to the test culture, which is expressed through the
yellowing of the mannitol salt agar.
Figure 9: 25 Hz exposed culture did not exhibit a color change, a key indicator of
Staphylococcus aureus’ capability of mannitol fermentation
26
�Figure 10: Graphical analysis of the three averaged trials of Staphylococcus aureus
exposed to an oscillating electromagnetic field at 25 Hz. Note that plate counts >300
colonies were considered too numerous to count and inputted into the average as 300.
Figure 11: Plated diluted cultures post 24 hour exposure to the oscillating electric field
at 25 Hz (top) compared to the diluted control (bottom). Left to right: 10-6, 10-7, 10-8.
Three Trials of Exposure to the Oscillating Electric field at 50 Hz
As previously discussed, the effects on Staphylococcus aureus during the first
trial of using a 50 Hz electromagnetic field yielded unremarkable results. The trials at this
frequency progressed because of past research successes determined through a literature
27
�search. The remaining trials exhibited similar outcomes as the first. The graphical
analysis of CFU/mL (figure 12) of the averaged trials suggests that the electromagnetic
field oscillating at 50 Hz had little effect on S. aureus as compared to the control, with
results consisting of 3.0 x108 vs. 3.0 x 108, 4.50 x 109 vs. 4.50 x 109, and 2.98X 1010 vs.
3.0X 1010. Visually, there were similar colony counts and comparable yellow coloration
on the mannitol salt agar plates of both the test and control cultures. (Figure 13).
Figure 12: Graphical analysis of the averaged three trials of Staphylococcus aureus
exposed to the electromagnetic field at 50 Hz. Note plate counts >300 colonies were
considered too numerous to count and inputted into the average as 300.
28
�Figure 13: Plated diluted cultures post 24 hour exposure to the oscillating electric field at
50 Hz (top) compared to the diluted control (bottom). Left to right: 10-6, 10-7, 10-8.
Three Trials of Exposure to the Oscillating Electric field at 250 Hz
The first trial exposure of Staphylococcus aureus to an oscillating
electromagnetic field at 25 Hz showed promising results. It appeared that the growth of
the organism was decreased in comparison to the control culture, and exhibited potential
electromagnetic effects similar to the 25 Hz trial. The test culture exhibited a lack of color
change within the mannitol salt broth, presenting with a more red/orange color in
comparison to the expected yellow color, which was expressed within the control. As
trials proceeded, the colony counts inferred a potential stimulation of growth of S. aureus.
A graphical analysis (figure 14) of CFU/mL of the averaged three trials suggests that the
29
�Figure 14: Graphical analysis of the averaged three trials of Staphylococcus aureus
exposed to the electromagnetic field at 250 Hz. Note plate counts >300 colonies were
considered too numerous to count and inputted into the average as 300.
250 Hz oscillating electro-magnetic field had a stimulating quality. The averaged test
cultures when exposed to 250 Hz suggests potential stimulation in comparison to the
control, with results consisting of 2.2 8 X108 vs. 1.03 x108, 1.94x109 vs. 1.01x 109, 2.27 x
109 vs 6.33 x 108. Serially diluted test and control cultures from the third trial plated on
mannitol salt agar can be seen in figure 15. The intense yellow color within the test
culture suggests an abundance of growth compared to the control plates.
30
�Figure 15: Plated diluted cultures post 24 hour exposure to the oscillating electric field at
250 Hz (top) compared to the diluted control (bottom). Left to right: 10-6, 10-7, 10-8.
Gram Stain and Microscopy
Figure 16: Gram stain analysis using100x magnification light microscopy of
Staphylococcus aureus exposed to 250 Hz (upper left) and control S. aureus (upper right).
The gram stain of S. aureus exposed to 25 Hz is denoted by picture (lower left) and the
control is the last image, (lower right).
31
�The results of both the 25 Hz and 250 Hz frequencies were further examined
microscopically. The above microscopic images show the post exposure effects (24
hours) of the test and control cultures of Staphylococcus aureus through 100x
magnification with the use of the Olympus BX 40 and the Toup View computer software.
S. aureus, a gram positive organism, naturally retains the initial crystal violet stain,
appearing purple when microscopically analyzed. As seen in both the control and the test
cultures, the gram positive organism presents as gram variable, indicating the organism’s
inability to retain the crystal violet stain (Figure 16).
IV. Discussion
The objective of this research was to expose the microorganism Staphylococcus
aureus to extremely low frequency oscillating electromagnetic fields (EMFs) to excite a
hazardous response within the cell. Staphylococcus aureus was chosen because of its
clinical relevance and pathogenesis, along with the continuous emergence of antibiotic
resistant strains both in healthcare and in the community. Exposure to the EMFs would
potentially initiate a resonant response delivering enough energy to the bacteria to create
detrimental electrochemical imbalances while leaving its surroundings unaffected. By
determining resonant frequencies which negatively affect the natural metabolic processes
within S. aureus, electromagnetic fields could potentially solve the unwanted effects of
antibiotics. Therefore, finding the natural frequency of S. aureus is the first step towards
a potential alternative to the pharmacological approach and the need for antibiotics.
After exposing Staphylococcus aureus to extremely low frequency (<300Hz)
oscillating electromagnetic fields at varying frequencies (figure 8), it was decided to
proceed forward in trials using electromagnetic fields at 25 Hz, 50Hz, and 250 Hz. The
decision to use the aforementioned frequencies was made through the analysis of colony
counts per plated dilution, potential sugar fermentation inhibition, and a literature search.
As seen graphically (figure 8), other frequencies remain promising. Specially, the
oscillating electromagnetic field at 150 Hz yielded zero CFU/mL at the final plated serial
dilution, potentially indicating the generation of detrimental oscillations within S. aureus
in response to a resonant frequency. This frequency, because of the inability to
potentially inhibit sugar fermentation and the lack of notable success in past research,
was not chosen for future trials, but should be considered for future research. Another
frequency of interest for future trials is 200 Hz. This frequency had comparable results to
the averaged colony forming units (CFU/mL) calculated after exposure to the oscillating
electromagnetic field at 250 Hz. It appears that the organism’s growth increased in
32
�response to the exposure of electromagnetic fields at the higher tested frequencies.
Graphical and visual analysis (figure 14) of CFU/mL of the averaged three trials suggests
that the 250 Hz oscillating electromagnetic field had a stimulating quality in comparison
to the control. These results potentially suggest that the growth of S. aureus is stimulated
when exposed to oscillating fields at 200-250 Hz, and future trials are necessary to
explore this hypothesis.
Past research, such as a study conducted by Garip et al. (2011) suggested that
when exposed to an electromagnetic field at 50 Hz, growth of S. aureus was inhibited
both during and post exposure. This research contributed to the decision to proceed
forward in trials for the 50 Hz frequency because of the potential ability to promote
detrimental effects within the organism. Unfortunately, my results proceeding the 50 Hz
exposure were not as conclusive as past research. When the average of the three trials
were taken, the control and the exposed cultures had comparable colony counts and sugar
fermentation ability (figure 12). In this stage of this research, the magnetic component of
the field was not altered. This may potentially contribute to the inconsistent results of this
research and past studies. Further testing on this frequency is definitely required for
future research, along with potentially altering the magnetic component of the field.
After the average of the three trials was determined, it can be suggested that the
growth of Staphylococcus aureus decreases substantially in response to the
electromagnetic field at 25 Hz. Similar results were achieved in past research. Obermeier
et al. (2009) found that when exposed to the electromagnetic field at 0-30 Hz, there was a
significant decrease in growth of S. aureus. Bayir et al. (2013) also concluded that an
oscillating electromagnetic field at 20 Hz, decreased colony forming units in broth
cultures significantly. This research proposes that the exposure to 25Hz, not only
decreases growth, but it also inhibits the organism’s ability to ferment mannitol (figure
9). This effect was visually seen and recorded directly after removing the culture from the
incubator post 24 hours of exposure. Despite its inability to ferment the sugars within the
broth cultures during the exposure to the electromagnetic field, after serially diluting and
plating the test and control cultures on fresh mannitol salt agar, S. aureus did ferment the
mannitol (figure 11) as visually seen by the yellow coloration of the media. This finding
suggests that the stress of the external field may have caused metabolic effects on the
organism during exposure, which are not necessarily irreversible or detrimental. Because
of this finding, future research should analyze and record growth and other inherent
characteristics of the organism during the 24 hour exposure time at hourly intervals, as
this research currently focused on post exposure growth inhibition.
33
�Because of the inhibiting and stimulating qualities of the oscillating
electromagnetic fields at 25Hz and 250 Hz, it was decided to do a simple microscopic
analysis (figure 16) of the post exposure Staphylococcus aureus cultures to observe
morphological changes. The results were extremely interesting in that the once gram
positive S. aureus species, turned gram variable, meaning the gram negative
characteristic of retaining the safranin stain was also visible within the cells. During the
gram staining procedure, gram positive cells, because of their thick layer of
peptidoglycan retain the initial crystal violet stain fixed by the iodine mordant, while a
gram negative organism, because of their thin peptidoglycan layer, stain pink in response
to the decolorizing agent (Granato et al., 2013). This finding suggests that the
peptidoglycan layer within the S. aureus’ cell wall was somehow affected by the stress of
the oscillating electromagnetic field in both frequencies. While older cultures of
microorganisms tend to stain incorrectly, the gram stain was done immediately after
exposure to the field for 24 hours, and is unlikely that age resulted in the current findings.
In past research done by Garip et al. (2011), the exposure to an oscillating
electromagnetic field resulted in the disintegration of the cell wall in S. aureus, which
was microscopically analyzed through transmission electron microscopy (TEM). This
could support the cause of the gram variable stain that was seen in this research.
As seen in figure 16, the control cultures expressed a gram variable stain as well.
In past, related research, it was common for the experimenters to place the control in a
completely separate incubator in fear of electromagnetic pollution from the generated
electromagnetic field. In this research, the control and the test culture remained within the
same incubator during the time of exposure for 24 hours, which could suggest a possible
explanation as to why the control seemed to be effected.
For the purpose of future research, each frequency should be tested again for
further accuracy of the results obtained, focusing on the effects of the oscillating
electromagnetic field at 25 Hz. Furthermore, implementation of a standard for the exact
amount of cells per culture should be executed, rather than the current practice of visual
estimation, to ensure an accurate comparison of colony forming units between the control
and test cultures. In addition, control and test cultures should be incubated in separate
incubators to eliminate the possibility of electromagnetic pollution.
The results of this research suggest that oscillating electromagnetic fields excite
both positive and negative effects on the microorganism Staphylococcus aureus.
Unfortunately, at this stage in the research it cannot be concluded as to why the effects
within the cell are occurring, or what specific metabolic functions are being effected.
34
�This research remains in the elementary stages of determining potential resonant
frequencies of S. aureus and can only suggest potential resonant frequencies and possible
effects the oscillating electromagnetic fields have on the microorganism. This study
intends to contribute in finding a resonant frequency which will excite a hazardous
response within S. aureus and aid in the direction of antibiotic alleviation and future
research in the field of biophysics.
V. Acknowledgements
Above all, I would like to thank my loving family for always believing in me even when
at times I did not believe in myself. I truly would not be anywhere near where I am today
without your endless support. I especially would like to thank my mentors, Dr. Bobbitt
and Dr. Falabella. I would like to thank Dr. Bobbitt for her unwavering patience and
guidance. She constantly inspires and motivates me every day to be the best
microbiologist I can be. I would also like to thank Dr. Falabella for all he has done for me
during my time at Wagner College. Words cannot begin to express how thankful I am to
have had a chance to learn and work alongside him throughout this process. I would also
like to express my absolute gratitude to Dr. Corbo for supporting and believing in me
from the very first day of my undergraduate career to my last. Lastly, I wish to express
my sincere thanks to the Department of Biological Sciences at Wagner College for
providing me with the necessary facility for my research.
VI. References
Bayir, E., Bilgi, E., Sendemir-Urkmez, A., and Hames-Kocabas, E. (2013). The
effects of different intensities, frequencies, and exposure times of extremely lowfrequency electromagnetic fields on the growth of Staphylococcus aureus and
Escherichia coli 0157:H7. Electromagnetic Biology and Medicine 34: 14-18.
Evans, A. (2013). Bacterial Infections of Humans: Epidemiology and Control. Springer.
Fojit, L., Stasak, L., Vetterl, V., and Smarda, J. (2004). Comparison of the lowfrequency magnetic field effects on bacteria Escherichia coli, Leclercia adecarboxylata
and Staphylococcus aureus. Science Direct 63: 337-341.
Garip, A., Aksu, B., Akan, Z., Akakin, D., Ozaydin, N., and San, T. (2011). Effect of
extremely low frequency electromagnetic fields on growth rate and morphology of
bacteria. International Journal of Radiation Biology 87(12): 1155-1161.
35
�Granato, P., Morton, V., and Morello, J. (2014). Laboratory Manual and Workbook in
Microbiology Applications to Patient Care. New York: McGraw- Hill Education.
Halliday, D., and Resnick, R. (1977). Fundamentals of Physics, 2nd edition. John Wiley
& Sons Inc.
Hsin, H., Flynn, N., King, J., Monchaud, C., Morita, M., and Cohen, S. (2006).
Comparisons of Community-Associated Methicillin-Resistant Staphylococcus aureus
(MRSA) and Hospital-Associated MSRA Infections in Sacramento, California. Journal
of Clinical Microbiology 44 (7): 2423-2427.
Kennesaw State University. (2008). Control Experiments in the Study of the Effect of
Electric Fields on E. Coli. Chemcases.com.
Obermeier, A., Matl, F., Friess, W., and Stemberger, A. (2009). Growth inhibition of
Staphylococcus aureus induced by low-frequency electric and electromagnetic fields. Bio
Electromagnetics 30 (4): 270-279.
Panagopoulos, D., Messini, N., Karabarbounis, A., Phillipetis, A., and Margaritis, L.
(2000). A Mechanism for Action of Oscillating Electric Fields on Cells. Biochemical and
Biophysical Research Communications 272: 634-640.
Tong, S., Davis, J., Eichenberger, E., Holland, T., and Fowler, V. (2015).
Staphylococcus aureus Infections: Epidemiology, Pathophysiology, Clinical
Manifestations, and Management. American Society for Microbiology 28: 603-661.
36
���The Prevalence of Cardiovascular
Disease in Port Richmond
Nicole Aylmer (Nursing), Nada Metwally (Nursing), and Robin Santoro (Nursing)1
I. Overview
Cardiovascular disease, heart disease, is an umbrella term used to describe
diseases of the blood vessels, dysrhythmias of the heart, and congenital heart disease
(Mayo Foundation for Medical Education and Research, 2014). According to the Centers
for Disease Control and Prevention (CDC), approximately 610,000 people die of heart
disease in the United States each year (CDC, 2015). In the United States, heart disease is
the leading cause of death for most individuals of the following ethnicities: African
American, Hispanics, and Caucasians (CDC, 2015). In addition to ethnicity, other risk
factors of cardiovascular disease include age, family history, unhealthy diet, lack of
physical activity/exercise, obesity, use of tobacco and alcohol, high blood pressure, and
diabetes (Hinkle & Cheever, 2014). Socioeconomic status plays a role in whether or not a
person develops cardiovascular disease. Unfortunately, individuals who do not have the
monetary means tend to choose unhealthy food and drink that are cheaper than healthier
options. As a result, people gain weight and develop comorbidities that increase the
chance of developing heart disease. One community in Staten Island, New York that has
been identified as having a high cardiovascular disease rate is Port Richmond. This
community is also classified as a low socioeconomic area.
Low socioeconomic populations are at risk for health issues. Low
socioeconomic status can lead to an increased risk for cardiovascular disease in many
different ways. People with low socioeconomic status usually cannot afford health care
visits that may help prevent cardiovascular disease, such as going to a primary care
provider regularly. According to The Behavioral Risk Factor Surveillance System (2014),
individuals who have an annual income of less than $30,000 are twice more likely to
have a heart attack than those who make at least $65,000. There is also research showing
that cardiovascular disease is more prevalent among places with big gaps between the
wealthy and the poor. New York City ranks at the top in income inequality (New York
Written under the direction of Prof. Tinamarie Petrizzo-Hughes for NR400: Techniques of
Nursing Research.
1
39
�Times, 2015). While Staten Island’s median income is high, poverty prevails in the Port
Richmond Community (New York Times, 2015).
According to the 2010-2014 American Community Survey 5-Year Estimates, it
is estimated that 471,522 people currently live in Staten Island, New York. Of these
residents, 18,043 of them reside in Port Richmond. Approximately 51% of the
community is female and 49% is male. The age group varies from under 5 years old to 85
years old and over. The largest age group is 25 to 34 years old, 16.6% of residents. Port
Richmond is a diverse community of individuals from various ethnic backgrounds:
38.9% Hispanic or Latino descent, 32.7% Caucasian, 18.7% African American, 6.4%
Asian, 1.9% mixed race, and 1.3% other (2010-2014 American Community Survey 5Year Estimates, 2015).
Reviewing the New York City censuses from earlier years one can compare how
the population of Port Richmond has changed. In 1980, 14,256 people were living in Port
Richmond and the population was divided as follows: 87.7% Caucasian, 9.6% African
American, 1.6% Asian descent, 1% Spanish origin, and 0.1% American Indian (Bureau
of the Census, 1980). Prior to 2010, Hispanics were counted among ‘other’. In 1990,
‘other’ comprised 13% of the Port Richmond community (Bureau of the Census 1990).
When reviewing and analyzing these statistics, a population increase of 3,787 people was
seen between 1980 and 2014. Currently, the population of Hispanics or Latinos is now
the dominant cultural group in Port Richmond. Other ethnicities, such as African
American and Asian, have grown over the years as well, while the percentage of
Caucasian living in the community has decreased by 55%. The fact that Hispanic,
African American, and Caucasian populations represent the predominant ethnicities, it is
essential to address cardiovascular disease, because all three of these groups are at an
increased risk (CDC, 2015).
As previously stated, Port Richmond is considered a low socioeconomic
community. Approximately 57.6% of the population 16 and older is employed (20102014 American Community Survey 5-Year Estimates, 2015). The average annual family
income is $68,842 (2010-2014 American Community Survey 5-Year Estimates, 2015).
After taxes there is not a sufficient amount of money to pay bills and buy healthy
groceries. This sum of money is especially not enough if they are supporting significant
others, children, and extended family. About 34.9% of this community receives some
form of governmental assistance, such as food stamps (2010-2014 American Community
Survey 5-Year Estimates, 2015). These facts further support that individuals living in the
Port Richmond community are not able to afford nutritious food because of its high cost
40
�and their low income. Therefore, they buy cheaper, unhealthy food. An unhealthy fatty
diet increases the risk of developing cardiovascular disease, and associated comorbidities,
diabetes and obesity (Hinkle & Cheever, 2014).
II. Evaluating the Social Determinants of Health and Risk Factors
Healthy People 2020 defines social determinants of health (SDOH) as
“conditions in the environments in which people are born, live, learn, work, play,
worship, and age that affect a wide range of health, functioning, and quality-of-life
outcomes and risks” (2016). SDOH substantially impact the health of individuals, such as
access to jobs, education, and health care, as well as, socioeconomic status, residential
segregation, culture, and public safety (Healthy People 2020, 2016). For example, the
less education an individual has the more likely they are to have health issues (CDC,
2016). In New York State, adults with less than a high school education are more likely
to report having a heart attack than those who have a high school education (Fessenden,
2005). Many people within the Port Richmond community do not have education at the
high school level, which predisposes them to health issues, such as cardiovascular
disease. Education is one modifiable risk factor.
Modifiable risk factors, unlike non-modifiable ones, are ones that are amendable
to intervention in order to reduce the likelihood of coming down with a certain condition.
Targeting the leading modifiable risk factors in the Port Richmond community - high
blood pressure (hypertension), high cholesterol, cigarette smoking, diabetes, an unhealthy
diet, decreased physical activity, and obesity – is essential in order to decrease changes
within the heart and blood vessels that lead to heart disease. Approximately 75 million, or
1 in 3 adult Americans, live with hypertension with just over half (54%) having it under
control (CDC, 2016). A high sodium diet can cause hypertension, yet 90% of Americans
exceed the daily-recommended intake of sodium (CDC, 2016). Unfortunately, many lowcost foods are high in sodium, which is problematic in communities like Port Richmond.
Hypertension can be caused by another major risk factor of cardiovascular
disease, obesity. Within the United States, 66.3% of adults are overweight or obese,
which represents a major public health concern (Swift et al., 2016). Obesity puts a strain
on the heart and blood vessels, which can lead to cardiovascular disease. In 2016, the
CDC stated that within the United States, “Blacks have the highest age-adjusted rates of
obesity (48.1%) followed by Hispanics (42.5%), non-Hispanic Whites (34.5%) …”,
which mirrors the ethnicity of Port Richmond. Also, similar to Port Richmond is the fact
that women with a lower income are more likely to be obese than women of a higher
41
�income (CDC, 2016).
Obesity and physical inactivity are closely linked together. In 2016, Americans
did not meet CDC guidelines for aerobic and muscle strengthening exercises. According
to the CDC, “Regular physical activity can improve the health and quality of life of
Americans of all ages, regardless of the presence of a chronic disease or disability”
(2016). The American Heart Association suggests weight loss in overweight and obese
patients to reduce the risk of getting cardiovascular disease. According to Swift, “Weight
loss in these patients has been associated with improvements in many cardio-metabolic
risk factors such as prevalence of the metabolic syndrome, insulin resistance, type 2
diabetes, dyslipidemia, hypertension, pulmonary disease, and CVD” (2016, p. 441-447).
Clinically significant weight loss, 5%-10% of baseline body weight, reduces the
prevalence of cardiovascular disease (Apovian, 2012; Swift, 2016). According to the
CDC, factors that positively affect physical activity are: postsecondary education, higher
income, history of physical activity, access to facilities, and safe neighborhoods. A study
conducted by the American Heart Association in 2012 demonstrated an average 7%
weight loss, done by intensive lifestyle modifications of diet and exercise among those
with pre-diabetes delayed its progression to type 2 diabetes mellitus (Apovian, 2012).
Obesity is prevalent among Hispanics, which comprises a major portion of the Port
Richmond community (CDC, 2016). Understanding the barriers to and facilitators of
physical activity is important to improve and maintain physical activities among the
people living in Port Richmond.
After assessing the statistics, it is clear to see that the three largest groups in Port
Richmond are Hispanics or Latinos, Caucasians, and African Americans. All three of
these groups have an increased risk of developing heart disease, when compared to other
ethnicities (CDC, 2015). Although this information suggests that there is a high incident
for cardiovascular disease in the Port Richmond community, there is no available data on
the health of the Port Richmond community itself. However, examining the Community
Health Profile of District 1 that consists of St. George, Stapleton, and Port Richmond. St.
George and Stapleton communities, all of which are similar areas to Port Richmond, it is
clear that heart disease is the leading cause of death, killing 2,295 people each year (King
et al., 2015).
When comparing to the other districts on Staten Island, District 1 has the highest
rate of smoking and obesity; yet, has the lowest rate of diabetes (King et al., 2015).
Twenty-two percent of District 1 smokes and individuals are twice as likely to smoke as
all other areas citywide (King et al., 2015). These individuals are more prone to tobacco
42
�use due to their occupations and the large number of delis and bodegas in these areas that
sell cigarettes (King et al., 2015). The adult obesity rate in this district is 33% and 9% for
diabetes (King et al., 2015). Although the rate of diabetes is low, it could increase due to
individuals developing type 2 diabetes if the obesity rate continues to rise.
One way to decrease risk factors such as obesity is through exercise. Federal
guidelines suggest that children exercise 60 minutes per day and adults should exercise
150 minutes each week (King et al., 2015). This community profile suggests that
cardiovascular disease is an epidemic in low socioeconomic areas due to the various
previously mentioned risk factors present in these communities. Even though this data is
not specific to Port Richmond itself it can be inferred that cardiovascular disease is a
problem in this community. Overall, poor eating habits and suboptimal physical health
are largely responsible for obesity, which is a major risk factor of cardiovascular disease.
Through proper nutrition, diet, exercise and living a healthy lifestyle, individuals can
decrease the incidences of cardiovascular disease within the areas they live in.
III. Community-focused Interventions
The literature encourages nurses and other health care providers to identify
various resources in the community that can foster its health. Such resources are available
through schools, churches, media, and clinics. Identification is the first step and then
there is the need to assess how they are or, are not, being properly accessed (Hinkle &
Cheever, 2014). Broad examples include, how churches could hold information sessions
teaching about what cardiovascular disease is and ways to decrease the risk; media could
make public service announcements raising awareness about cardiovascular disease; and,
clinics could provide information to patients about cardiovascular disease and
preventative measures (Hinkle & Cheever, 2014).
Specific to Port Richmond, The Community Health Center of Richmond is a
facility that offers many resources to educate community members about how to decrease
the modifiable risks factors that contribute to cardiovascular disease. These resources
include insurance enrollment assistance, nutritional counseling, diabetes care
management, and primary care (Community Health Center of Richmond, 2016).
Churches, media, and clinical are the more traditional community-based
resources. A contemporary approach to building a model to enhance community health is
the Port Richmond Partnership. This is a formalized partnership lead by Wagner College
and a memorandum of record with key resources in Port Richmond community. The
Partnership focuses on addressing significant challenges and establishing measurable
43
�impacts in five high need areas, one of them being health (Center for Leadership &
Community Engagement, 2016). If media along with churches and clinics start to take an
active role in the health of the community and individuals start to utilize the resources
available to them it is possible to reduce cardiovascular disease in Port Richmond. The
target goal is for local media and community resource to come together with a common
goal of reducing the risk factors that play a role in the development of cardiovascular
disease.
IV. Theoretical Framework
Dorothy Johnson’s behavioral system provides a framework to address
community-based interventions in Port Richmond. According to Johnson, “constancy is
maintained through biological, psychological, and sociological factors” (Alligood, 2002).
Johnson’s concepts focus on the person, the environment, health, and nursing. By
examining each concept in relevance to the Port Richmond Community, viable solutions
are proposed to reduce the occurrence of heart disease. A nursing assessment of the
community can be obtained through the integration of the statistical data analysis
collected and the interrelated concepts of the person, environment, and health. The
concept of nursing, as an “external regulatory force that is indicated only when there is
instability,” allows for the proper interventions to be implemented allowing for change to
occur (Alligood, 2002). Nurses act as the external regulatory force to assess Dorothy
Johnson’s concept of the person and environment relevant to port Richmond. Based on a
concrete definition of health and nursing assessment, interventions can be put into place
to properly address the prevalence of cardiovascular disease in this community.
The Person
Johnson’s theory defined the concept of the human being as a “behavioral
system that strives to make continual adjustments to achieve, maintain, or regain balance
to the steady-state that is adaptation (Gonzalo, 2011). Focusing on who “The person” is
in the Port Richmond community that is most at risk for cardiovascular disease provides
clarification. Age and culture are key contributors to the increasing rate of heart disease.
An estimated 10.6 percent of the Port Richmond population is over the age of 65. There
is a direct correlation between an increase in age and heart disease, placing this group of
individuals within the “at risk” population. According to our collected statistics, the two
top ethnicities that are at high risk for cardiovascular disease are Hispanics and
44
�Caucasians, comprising 81.6 percent of the Port Richmond Community. Risk factors for
heart disease include hypertension, diabetes, and obesity (CDC, 2015a). The listed
morbidities are common in both Hispanics and Caucasians and predispose both
populations to heart disease if not properly maintained and monitored. Heart disease is
the leading cause of death in nonwhites, and the second leading cause of death in
Hispanics across the nation (CDC, 2015). For Hispanics, the proper care necessary to
address the risk factors of heart disease is caused by barriers such as a language barrier,
and poor access to health care, and lack of health insurance coverage (Escarce, 2006).
The Environment
Based on Dorothy Johnson’s behavioral system theory, the environment is “all
elements of the surroundings of the human system and includes interior stressors”
(Gonzalo, 2011). Based on previously collected statistics, Port Richmond is a
community of low socioeconomic status. There is a direct relationship between heart
disease and low socioeconomic status. According to previous studies, there is a
“dominance within the lower socioeconomic groups” when it comes to the prevalence of
heart disease (White, 2016). Low socioeconomic status in itself is a risk factor for disease
since the “less well-off have fewer opportunities to undergo regular preventive medical
checkups and screenings, to work at jobs with low physical danger or contact with
hazardous materials, to live in well-built housing in safe neighborhoods with low
pollution, and to drive safe cars” (Pampel, Krueger, and Denney, 2011). A community’s
lack of resources, whether it be money to purchase healthy food, (which is significantly
more expensive than fast food), recreational areas that allow for a person to become
active, and steady access to health care, all contribute to a community that is more likely
to fall susceptible to disease; in this case heart disease.
Health: Balance and Stability
Dorothy Johnson defines health as “some degree of regularity and constancy in
behavior, the behavioral system reflects adjustments and adaptations that are successful
in some way and to some degree… adaptation is functionally efficient and effective”
(Gonzalo, 2011) Therefore, to maintain a degree of “constancy in behavior” and
successful adaptation as highlighted in Dorothy Johnson's health definition, a healthy
lifestyle needs to be maintained to prevent cardiovascular disease. In relevance to heart
disease, “a healthy lifestyle is defined as consuming a healthy diet, maintaining a healthy
weight, exercising regularly, having low to moderate stress levels, not smoking and
45
�limited alcohol use” (Hutchins, Melancon, Sneed, & Nunning, 2015, p. 721-734).
Through this definition a construct can be created to provide the necessary measures to
tackle this conflict.
Nursing
By defining the person, environment, and health concepts, clear parameters have
been created to allow for an initiative plan to address heart disease in Port Richmond.
These parameters are self-care, which is a “set of behaviors or activities that patients are
asked to engage in to promote health and well-being” (Dickson et al. 2013, p.1-16).
Therefore, the plan created is structured around primary and secondary care. Through
primary prevention, care will be provided in the form of education. Secondary care will
be provided through screening.
Primary Prevention
Through our predefined definition of health in relation to heart disease, the
following must be addressed to the Port Richmond Community: alcohol intake, smoking,
weight, diet and activity. Education will be centered on how to manage these four
categories in the practice of everyday life. For alcohol intake and smoking, there needs to
be an emphasis to decrease both practices. According to the CDC (2015), alcohol, a
hypertensive agent, should be limited to two drinks for men per day and one drink for
women per day. Smoking must be encouraged to stop; it was found that “a key
contributory factor in the decline of deaths was the individual reduction behaviors,
especially the elimination of smoking” (White, 2016). A discussion on how to quit should
be started with a primary care provider. A healthy diet should consist of low sodium, to
decrease blood pressure, and low trans/saturated fat to decrease high cholesterol and the
buildup of plaque in the arteries (CDC, 2015). Foods high in fruit, vegetables, and fiber,
are encouraged; “a healthy diet consists of a balance of essential nutrients, calories,
carbohydrates, fats, and proteins and has been associated with lower risk for heart
disease” (Hutchins, Melancon, Sneed, & Nunning, 2015). Activity can also significantly
reduce the risk of heart disease. A recent study has shown that “accumulating 150
minutes of moderate intensity physical activity per week can reduce risk of heart disease
and blood pressure and improve cholesterol levels” (Hutchins, Melancon, Sneed, &
Nunning, 2015). Suggestions on how to become active could include having daily walks
or morning exercises at home. It is important to emphasize that the smoking cessation,
46
�limiting alcohol consumption, diet, and exercise will significantly lower the risks of heart
disease in the Port Richmond community.
Secondary Prevention
Secondary prevention is done via screening of: blood pressure, cholesterol and
triglycerides, body weight, and glucose levels (Heart-Health Screening, 2016). To allow
for the proper cardiovascular monitoring it is important to emphasize regular
appointments with the appropriate healthcare providers. Most regular cardiovascular
screening tests should begin at age 20 (Heart-Health Screening, 2016). In a community of
low socioeconomic status, such as Port Richmond, it is important to educate on the help
Medicare and Medicaid can provide, and make referrals to healthcare providers within a
proper radius to allow for easy access.
V. The Wagner College Port Richmond Partnership: Health and Wellness Program
Nursing faculty and student nurses from Wagner College started an initiative to
enter the Port Richmond Community and reach out to the targeted population. Meetings
at schools were held to encourage a proper learning environment. Collaborating with
schools in Port Richmond, informational pamphlets targeted both the students and the
parents to advocate healthy lifestyle choices. Student nurses discussed guidelines for
healthy habits. Surveys after each informational session were distributed to determine the
effectiveness of the teaching, and to determine if modifications should be put in place.
Taking into consideration the possibility of a language barrier, surveys were distributed
in both English and Spanish
Dr. Nancy Cherofsky was the 2013-2016 Fellow of Health in the Wagner
College Port Richmond Partnership, Health and Wellness Program. She launched the
“Eat well, Be well” initiative in Port Richmond High School in 2015. The culinary
classes at Port Richmond allowed nursing students to hold educational seminars to
educate the high school students about healthy food alternatives. They learned to
substitute ingredients that allow for desirability and taste while remaining healthy.
Collaboratively, Suzanne Woodman, Assistant Principal of Port Richmond High School,
Mr. James Ryan, Culinary Teacher, Mr. Neil Soto, Health & Wellness Teacher, and Dr.
Cheroskfy successfully planted three gardens at the school. Funding for the gardens to be
planted at Port Richmond High School was provided by Grow to Learn NYC. The
organization’s mission is “the creation of a sustainable school garden in each and every
public school across New York City” (Grow to Learn NYC, 2017).
47
�Students grow their own food, such as kale, carrots, potatoes, and tomatoes.
Dr. Nancy Cherofsky and Mr. James Ryan with nursing
students from the Evelyn L. Spiro School of Nursing.
48
�This experiential learning allowed for students to learn how to harvest their own
food, and, therefore, make healthier choices. Planting the gardens at Port Richmond High
School, allowed for further validation of the education provided by Wagner nursing
faculty and students through application in a real-life setting. This sustainable program
has been found to be effective in its teachings and students’ weight maintenance. Three
months after the initiative started, eighty-five culinary students participated in a survey to
evaluate student feedback. After various presentations held by the Nursing Students at
Wagner College, results indicated that 51.6% of students were now more capable of
choosing a healthier life style; 65.53% felt more knowledgeable about healthy eating
habits; and 52.94% of students agreed that they are more likely to incorporate healthy
ingredients in their food (N. Cherofsky, Personal Communication October 1, 2017).
Building on this program, Dr. Edna Aurelus, the 2017 Fellow of Health, is
leading a screening and educational program. Dr. Aurelus started weekly visits to Port
Richmond High School, to educate on proper diet and exercise. The program will consist
of once a week meetings on education, an exercise regimen and blood pressure
screenings, as well as monthly measures of body mass index. With the help of nursing
students, she will be recruiting at least fifty high-school students to measure the
effectiveness of this initiative, on BMI and blood pressure. The monthly measurements
will be compared to evaluate the program. In addition, surveys to gain participant
feedback will be collected (E. Aurelus, Personal Communication, October 1, 2017).
These holistic approaches to address the prevention of cardiovascular disease
encompass Johnson’s concepts of the person, the environment, health, and nursing, in
order to provide effective strategies for a healthier lifestyle in the Port Richmond
community. “It is important to ensure that patients are fully informed as to how to reduce
further decline and advancement of their disease and to educate as to how to make these
changes “(White, 2015). Initiatives of the Health and Wellness Program have the
potential to include other facilities in the Port Richmond Community and target a larger
population. Informational sessions can be held that enlist the help of guest speakers.
Including a Spanish liaison will address the language barrier among the Hispanic
population, as will any distributed information being made available in both English and
Spanish. It is an important duty of nurses and other healthcare professionals to partake in
community education to encourage preventative care measures to diminish the onslaught
of disease.
49
�VI. Exposition
A collaboration among and between nurses and the community can help
facilitate action and, therefore, change. At the Collaborative Research/Evidenced Based
Nursing Practice Expo, held at the College of Staten Island on April 24, 2017, we were
able to showcase our proposal in an effort to illustrate the prevalence of cardiovascular
disease in Port Richmond. We found Dorothy Johnson’s behavioral system theory
effective in addressing this problem. In presenting her theory we inspired other nurses to
use it in reference to other community concerns. We wanted to present our approach to
how we can tackle cardiovascular disease in Port Richmond, and the importance of the
role of nursing in primary and secondary prevention. We emphasized the importance of
nursing research and nursing interventions based on evidenced based practice.
VII. References
American Community Survey 5-Year Estimates. (2015ACS SELECTED ECONOMIC
CHARACTERISTICS ESTIMATES 2010-2014). Retrieved from http://factfinder.census.gov
/faces/tableservices/jsf/pages/productview.xhtml?src=CF
Center for Disease Control and Prevention (2016) Adult Obesity Facts. Retrieved
November 19, 2016, from http://www.cdc.gov/obesity/data/adult.html
Alligood, M. R. & Marriner-Tomey, A. (2002). Nursing theory: Utilization &
application. St. Louis: Mosby.
Apovian, C. & Noyan, G. (2012, March 5). Obesity and Cardiovascular Disease.
Retrieved November 19, 2016, from http://circ.ahajournals.org/content/125/9/1178
Behavioral Risk Factor Surveillance System. (2014). Cardiovascular Disease.
Cardiovascular Disease New York State Adults, 2014. Retrieved November 19, 2016,
from https://www.health.ny.gov/statistics/brfss/reports/doc/1511_brfss_cardiovascular_
disease.pdf
Bureau of the Census. (1980). Population by Race - 1980 Census. Retrieved from
http://infoshare.org/mod1/main.aspx
Bureau of the Census. (1990). Population by Race - 1990 Census. Retrieved from
http://infoshare.org/mod1/main.aspx
Centers for Disease Control and Prevention. (2015a, August 10). Conditions that Increase
Risk for Heart Disease. Retrieved November 12, 2016, from http://www.cdc.gov/
heartdisease/conditions.htm
50
�Centers for Disease Control and Prevention C. (2016, June 16). High Blood Pressure Fact
Sheet. Retrieved November 19, 2016, from https://www.cdc.gov/dhdsp/data_statistics/
fact_sheets/fs_bloodpressure.htm
Community Health Center of Richmond-Services. (2016). Retrieved from
http://www.chcrichmond.org/ services/
Dickson, V. V., Nocella, J., Yoon, H.-W., Hammer, M., Melkus, G. D., & Chyun, D.
(2013). Cardiovascular disease self-care interventions. Nursing Research and Practice,
2013, 1– 16. doi:10.1155/2013/407608
Escarce, J. J. (2006). Access to and Quality of Health Care. Retrieved October 02, 2017,
from https://www.ncbi.nlm.nih.gov/books/NBK19910/
Fessenden, Ford. (2005, August 18). Health Mystery in New York: Heart Disease. The
New York Times. N.Y. Region. Retrieved from
http://www.nytimes.com/2005/08/18/
nyregion/health-mystery-in-new-york-heart-disease.html?_r=0
Gonzalo, A. (2011). Dorothy Johnson. Retrieved September 23, 2017, from
http://nursingtheories.weebly.com/dorothy-johnson.html
Grow to Learn NYC. (2017). About Grow to Learn. Retrieved October 06, 2017, from
http://www.growtolearn.org/about/
Heart-healthy screenings. (2016, August 30). Retrieved November 27, 2016, from
http://www.heart.org/HEARTORG/Conditions/Heart-Health-Screenings_UCM_428687_
Article.jsp#.WDYcX4U7FaU
Healthy People 2020. (2016). Physical Activity. Retrieved October 02, 2017, from
https://www.healthypeople.gov/2020/topics-objectives/topic/physical-activity
Hinkle, J. L. & Cheever, K. H. (2014). Brunner & Suddarth's textbook of medicalsurgical nursing (13th ed., Vol. 1-2). Philadelphia: Wolters Kluwer Health/Lippincott
Williams & Wilkins.
Hutchins, M., Melancon, J., Sneed, D., & Nunning, J. (2015). Effectiveness of the
Complete Health Improvement Program. Physical Educator, 72(4), 721-734.
King, L., K. H., Dragan, K. L., Driver, C. R., Harris, T. G., Gwynn, R. C., . . . Bassett, M.
T. (2015). Staten Island Community District 1: ST. GEORGE AND STAPLETON.
Retrieved November 10, 2016, from http://www1.nyc.gov/assets/doh /downloads/pdf /
data/2015chp-si01.pdf
Mayo Clinic. (2014, July 29). Heart disease. Retrieved November 17, 2016, from
http://www.mayoclinic.org/diseases-conditions/heart-disease/basics/definition/con20034056
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�Pampel, F. C., Krueger, P. M., & Denney, J. T. (n.d.). Socioeconomic disparities in health
behaviors., 36. Retrieved from https://www.ncbi.nlm.nih.gov/pmc/articles/
PMC3169799/
Center for Leadership & Community Engagement. (2016). Port Richmond Partnership.
Retrieved November 15, 2016, from http://wagner.edu/engage/port-richmond-partnership/
Profile of General Demographic Characteristics: 2000 Census 2000 Summary File 1 (SF
1) 100- Percent Data. (2000). Retrieved from http://factfinder.census.gov/faces/
tableservices/jsf/pages/productview.xhtml?src=CF
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productview.xhtml?src=CF
Social Determinants of Health. (2016). Retrieved November 19, 2016, from
https://www.healthypeople.gov/2020/topics-objectives/topic/social-determinants-of-health
Swift, D. L., Johanssen, N. M., Lavie, C. J., & Earnest, C. P. (2014, January). The Role
of Exercise and Physical Activity in Weight Loss ... Retrieved November 19, 2016, from:
http://www.onlinepcd.com/article/S0033-0620(13)00165-5/fulltext
White, C. (2016). The pathophysiology of coronary heart disease from a student's
perspective. Journal of Perioperative Practice, 26(7/8), 170-173.
52
�The Dakota Access Pipeline: Litigating the Dispute
Vanessa Dailey (International Affairs)1
The purpose of this research is to identify all the details of the Dakota Access Pipeline
and to call attention to what might be overlooked among the enormous uproar that has
ensued to stop the construction process. The aspects explored are who the proponents and
opponents are, the politicians involved, what laws were utilized to make the construction
up and fully operating, how the media covered the whole situation, and the possible
solutions to the dispute of whether or not the pipeline should be finished. Upon
examination of these events, it becomes clear that a lot more is involved in the underlying
details of the Dakota Access Pipeline and the protocols that have been carefully followed
to make crude oil transporting pipeline a success compared to the Keystone Pipeline XL
that was turned down by President Barack Obama. Through analyzing all the logistics of
this pipeline and the stakeholders involved, this research highlights the need for possible
alternatives to the pipeline as well as the importance of being politically aware in the
American society.
Source: https://steemit.com
I. Introduction
Written under the direction of Dr. Abraham Unger in partial fulfillment of the Senior
Program requirements.
1
53
�This essay contends that the Dakota Access Pipeline (DAPL), a crude oil pipe
that is proposed to be finished by early 2017 contravenes with the ‘sacred’ land of Native
Americans, particularly the Sioux Tribe whose land it runs through. The $3.78 billion
pipeline will span approximately 1,172 miles from North Dakota to Illinois (Nemec 16).
It is projected to run through the Standing Rock Sioux Tribe’s reservation and is feared to
leak or spill and contaminate their water supply. The natural gas and propane company,
Energy Transfer Partners (ETP), argues that the pipeline is beneficial to the economy and
will pump millions of dollars into local economies as well as create 8,000 to 12,000
construction jobs (Nemec 17). Both sides have erupted into an impassioned fight on
whether or not to build this enormous, crude oil transporting pipeline. Although the
protesters claim they are peaceful, there have been reports of heated confrontations with
law officers and construction workers (“Police Remove Pipeline Protesters in North
Dakota” 2016). Many people have been arrested and ETP has sued several protesters.
Most politicians including the 2016 presidential contenders as well as the presidential
elect have remained silent on this issue. President Barack Obama had just recently spoke
upon delaying the construction of DAPL while a minority of politicians such as Green
Party presidential nominee, Jill Stein, and the Senator of Vermont and former presidential
nominee, Bernie Sanders have been consistently vocal on the situation (“Is decision a
brief timeout or a game-changer for Standing Rock? 2016). As for the media, it had
received little to no coverage during early September; a lot having to do with the law
enforcement officers arresting reporters on site. Even celebrities such as actress Shailene
Woodley have been arrested for peacefully protesting with the Native Americans and Jill
Stein has been charged for “rioting” (“Is decision a brief timeout or a game-changer for
Standing Rock? 2016). However, the media did connect internationally creating an
uproar abroad and through various platforms of social media such as YouTube,
Facebook, and other forms, people in the United States were able to see what was going
on at the Dakota Access Pipeline and have also taken action by protesting against the
construction of this pipeline (“Standing Rock protest grows with thousands opposing
North Dakota pipeline 2016). The questions that arise with the construction of the Dakota
Access Pipeline are: Will this pipeline be as beneficial to the economy as Energy
Transfer Partners claims it will be? How much is actually at stake with the Sioux Tribe’s
land? And what is a possible solution to all of this?
54
�II. Literature Review
In the Article, North Dakota Oil Pipeline Battle: Who’s Fighting and Why by
Jack Healy, he describes the whole situation at hand with the protestors, why they’re
protesting, what Energy Transfer Partner is, what will go into the construction of the
Dakota Access Pipeline, and how the government is handling the whole situation. While
in the article, Dakota Access Pipeline: A New Artery for Bakken Crude by Richard
Nemec is about the logistics of the construction of the Dakota Access Pipeline instead of
focusing on the protesters and who is affected. Nemec goes into detail on who is in
charge of what for the operation process, how this pipeline will be implemented, how the
pipeline will affect the national and local economy, what states the pipeline will be built
through, and how’ve they’ve strategically employed their workers. Another source that
directly explains what the Dakota Access Pipeline is being installed for is from the direct
website of DAPL, http://www.daplpipelinefacts.com, where Energy Transfer Partners
explains where the pipeline is going to transverse through, the width and length of the
pipeline, how many barrels a day the pipeline can produce, how they claim that it will
protect land and farmland, the technology in place for the pipeline, and the national &
local economic impact. The economic impact that DAPL will have on a national and state
level is also illustrated in the article by J. Thompson, The Dakota Access Pipeline Will
Simply Create Profits. Not Jobs or Energy Independence. He argues that the economic
impact isn’t large enough to make this project worthwhile.
Then for the legality of the pipeline as well as sections highlighting property
laws, a couple of sources were used. In the journal, National Security Complex National
Historic Preservation Act Historic Preservation Plan, it is elaborated on what Section
106 of the National Historic Preservation Act 1966 and why it is important when it comes
to Dakota Access LLC constructing its pipeline on the grounds of the Standing Rock
Sioux Tribe’s sacred land. In addition, the source: www.achp.gov, is also an outline of
Section 106 of the National Historic Preservation Act 1966. Another source used for the
legality of land is the book, Takings: Private property and the power of eminent domain
by Richard Epstein, which describes how eminent domain is used in the court as well as
without the court and what the process is in order for a government, state, or private
operation to take private property from the landowner for public use. In addition, another
article of use for legal terms on all about the 1851 Treaty of Traverse des Sioux is The
Sioux Treaties and the Traders by Lucile Kane. It explains how the United States
government and Sioux Indians signed an agreement that the Sioux tribe would move onto
reservations along the Minnesota River in exchange for cash and goods. Showing that the
55
�land that Dakota Access wants to operate on isn’t technically legal. For farmers,
particularly in Iowa, the article 296 Iowa landowners decline Bakken Pipeline by W.
Petroski talks about how multiple people in Iowa never gave permission for Dakota
Access to take their land, but it was taken anyway under eminent domain.
As for keeping up with the protestors and media, included in this essay is
multiple Newspaper articles reporting on what has happened from early October to late
early December of 2016. I have used the article, Scientists stand with Standing Rock by
multiple authors and edited by Jennifer Sills, which covers how scientists feel about the
construction of the Dakota Access Pipeline and how they are concerned about its possible
detrimental effects on the environment. Some articles that go over the possible hazardous
outcomes of an oil or crude spill that could impact the environment. These include:
Protectors vs. Pipelines by M. Engler, A Sustainability Dialogue: The Dakota Access
Pipeline and Subjugation of Native Americans, Pick Your Poison-Oil Transportation, and
Environmental signatures and effects of an oil and gas wastewater spill in the Williston
Basin, North Dakota by multiple authors. For what is happening on the ground level with
the protesters, articles such as 16 Arrested at North Dakota Pipeline Protest by J.E.
Bromwich which is about police force and the dog cages they supposedly keep the
protesters in as well as What to Know About the Dakota Access Pipeline Protests from
TIME magazine which is about an overview about the whole situation. CBC’s article
Standing Rock protest grows with thousands opposing North Dakota pipeline touches
upon how expansive the protest has become to not only nationwide, but internationally.
The CBS News article, Dakota Access pipeline protest costs mount, along with pressure
on President Obama to end standoff reports on President Barack Obama’s decision to
temporarily halt the construction of the Dakota Access Pipeline.
The essay is up to date with articles of what is happening currently with
Standing Rock and DAPL. The Star Tribune article, Is this decision a brief timeout or a
game-changer for Standing Rock? talks about what the strategies will be for the
protesters even though the Army Corps has denied the permit for the construction of
DAPL. The decision is further explained in the article U.S. Army Denies Dakota Access
Pipeline to Cross Through Standing Rock.
The Logistics of the Dakota Access Pipeline
The Dakota Access Pipeline (DAPL) is a $3.78 billion project that was first
announced publicly in July 2014 and ran informational hearings for landowners between
August 2014 and January 2015. Dakota Access submitted its plan to the Iowa Utilities
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�Board (IUB) on October 29, 2014 and applied for permit in January 2015 (“296 Iowa
landowners decline Bakken pipeline” 2016). The IUB was the last state of the four states
involved, which are North Dakota, South Dakota, Iowa, and Illinois, to grant the permit
in March 2016, including the use of eminent domain, after some public controversy (296
“Iowa landowners decline Bakken pipeline” 2016). The Pipeline will range 1,172 miles
from the Bakken oil fields in northwest North Dakota and travels in a somewhat straight
line south-east, through South Dakota and Iowa, and ends at the oil tank farm near
Patoka, Illinois. The pipeline is anticipated to be fully functional by January 1,2017, but
as of now, the construction has been brought to a halt under president Barack Obama.
However, as of November 26th, 2016, the project was reported to be 87% completed and
what is currently being debated over is on the pipeline’s final 1,100 feet in North Dakota
over concerns about water quality and historic relics (“What to Know About the Dakota
Access Pipeline Protests” 2016).
Although at a halt, the construction of the pipeline is currently run by Dakota
Access, LLC, a subsidiary of the Dallas, Texas Corporation Energy Transfer Partners,
LP. For ownership over the pipeline, Dakota Access owns 75% of the pipeline, while
Houston-based Phillips 66 owns a 25% share. The $3.78 billion pipeline project, of which
$2.5 billion was subsidized by loans while the rest of the capital would be raised by the
sale of a 49% share in Dakota Access, LLC (36.8% indirect stake in the pipeline) to
Enbridge and Marathon Petroleum. The loans were provided by a group of 17 banks
(Nemec 2016). The Energy Transfer Partners, which is a United States Fortune 500
natural gas and propane company, proposed that the pipeline will transport 450,000 bpd
(barrels per day) with a capacity as high as 570,000 bpd or more (“Dakota Access
Pipeline” 2015). The committed volume rates of the pipeline project have already created
historically high shipment ratios, with the pipeline projected to carry half of the Bakken’s
current daily crude oil production. In addition, the shippers will be able to access various
markets, including the Midwest and East Coast via the Nederland, Texas crude oil
terminal facility of Sunoco Logistics Partners (Nemec 2016).
In the United States a statistic taken in 2014 reported that 70% of crude oil and
petroleum products are shipped by pipeline, 23% by tankers and barges over water, 4% of
trucking, and 3% of railroad (Conca 2014). A major point for the production of the
Dakota Access Pipeline is to use less railroads and trucks to transport crude oil from one
location to another. And by constructing a pipeline and using less of the railroads,
farmers will be able to ship more Midwest grain through train transportation. However,
pipelines leak more than by railroad which could be concerning to the environment
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�(Conca 2014). It is also contended that by using a pipeline to transport oil rather than by
trucks is it will free up the highways. Because the same amounts of water need hauling as
barrels of oil produced, so the truck traffic will never disappear (Conca 2014). This is
particularly important because the truck is worse than the pipeline in spills. However,
both trucks and railroads are the least concerning factors of oil spills due to the fact that
they both make up such a miniscule percentage in oil transportation.
According to engineers of the Dakota Access Pipeline it will transport so called
“clean barrels”, which means that “What is put in the system in the Bakken is what the
refiners get at the other end” say the senior vice president for engineering at the project
sponsor, Energy Transfer Partners (ETP), Joey Mahmoud (Nemec 2016). Mahmoud also
stated that through the pipeline, the barrels will be able to transport from the Bakken
formation to the Gulf as clean barrels. One of the ways oil can become unclean is by
being shipped dirty by the supplier and that is through becoming contaminated by
tobacco smoke, bacteria, salt, coal dust, human hair, and pollen. All of which the naked
eye can only see up to 40 µm, which allows it to only see human hair at 70 µm and salt at
100µm. The rest is undetectable and is why the ability to transport clean oil is impressive.
Usually such contaminates oil through outside forces in storage or during the transport
process to the machine (Conca 2014).
There is economic gain to building the Dakota Pipeline and that is through the
$3.7 billion being spent on the project, $189 million will be paid to the landowners as
well as the investment made into the United States directly locally and nationally with a
labor force by creating 8,000 to 12,000 construction jobs and 40 permanent operating
jobs. The economic impact of the project will also transverse through the $1 billion pipe
being constructed currently in 2016 as well as other related equipment. Most of the
equipment is made in the United States except for a couple of pumps and a little bit of the
pipe (Nemec 2016). All the materials that could be sourced here were, so it is estimated
that the overall $3-4 billion job has a total impact of $20 billion on the economy. In
addition, the project will need about 12,000 construction workers by the time it’s finished
in early 2017 (“Dakota Access Pipeline” 2015).
For the workers, the Dakota Access L.L.C hired 100% union labor. This is
notably important because the ETP took provisionary actions in order to not get shut
down like Barack Obama turned down the Keystone Pipeline XL on account that it
wouldn’t create that many jobs. The issue with the Keystone Pipeline XL is that, although
it would create up to 20,000 jobs, $1.9 billion had already been spent by TransCanada
and would reduce the number of supply chain jobs that could be created in the future
58
�(Nemec 2016). For the Dakota Access Pipeline, it will create 8,000 to 12,000 temporary
construction jobs and 40 permanent operating jobs once the pipeline is finished. Although
the Keystone Pipeline XL would create more jobs that the Dakota Access Pipeline, the
use of union organized workers is the key factor to their success.
How the pipeline was constructed is also a key factor to its success with being
passed by legislation. For starters, the Dakota Access Pipeline will meet or exceed state
and federal safety requirements and at a minimum will be designed in accordance with 49
Code of Federal Regulation Part 195 (Nemec 2016). This code summarized means that
DAPL will follow the protocols concerning using computation pipeline monitoring which
is a software-based monitoring tool that alerts the pipeline dispatcher of a possible
pipeline leak, to make sure that the construction of the pipeline complies with the
protocols in that if a pipeline must be built underwater then it cannot protrude into the
water and should be built underground, and that the pipeline follows the safety standards
on transporting hazardous liquids or carbon dioxide (Nemec 2016). To meet these
requirements, the pipes in the Dakota Access Pipeline have leak detection and remote
control valve systems and that ETP operates 71,000 miles of other various energy
pipelines across the nation, so this is not a new phenomena. In addition, ETP claims that
the pipe is all brand new and all the materials that went into making it are of the highest
quality (Nemec 2016).
Land Claim
The Dakota Access Pipeline is a 1,172 miles, 30-inch diameter pipeline that will
start in the Bakkens, a huge rock formation in North Dakota, and moves in a somewhat
straight line through South Dakota and Iowa, and ends at the main oil hub near Patoka,
Illinois (“Dakota Access Pipeline” 2015). Eminent domain was used in order for Dakota
Access L.L.C to annex it and build this crude oil pipeline. Backed by the Fifth
Amendment to the U.S. Constitution, eminent domain is the power a government or state
has to seize private property for public use, in exchange for payment of fair market value.
Some examples that are typically used to make with eminent domain are roads,
courthouses, schools and utilities. Sometimes it can be used to make private commercial
development such as the Dakota Access Pipeline if it is considered a benefit to the
community (Epstein 1985).
It is also stated in the Fifth Amendment that private property can’t be taken for
public use without just compensation, but the catch is that private land can be taken
without the landowner’s consent just as long as they are fairly compensated. The legal
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�process of eminent domain, formerly known as condemnation, starts out with the
government or state deciding that they need a parcel or sometimes miles of land and then
contacts the owner to work out a selling price. If the property owner agrees with the sale
price then the government pays them and the landowner gives up the deed to the land.
However, this isn’t as usual as cases where a landowner is not willing to give up their
land. For this instance, the two parties must proceed to a hearing where a “fair value” is
established (Epstein 1985). Sometimes the landowner refuses sale entirely and in that
case, the government issues a public notice of the hearing. In this hearing the government
must prove that it attempted negotiate the sale and that the land is for public use. If the
government wins then an appraiser is setup to establish the fair market value. If the
landowner wins then the land remains their private property. Both sides are allowed to
appeal the decision. And if the government does not follow through with compensation
then the landowner has the right to sue for the money (Epstein 1985).
In the case of Iowa for the Dakota Access Pipeline, ETP claims that it legally
obtained the land through eminent domain. However, state utility regulators in Iowa had
received notice that 300 parcels of land had been taken without consent from the
landowners while the supposed pipeline would run diagonally through 18 Iowa counties.
The Iowa Utilities Board was unable to reach a decision regarding the permit requested
by Dakota Access LLC to build the 30 inch diameter pipeline along 346 miles in Iowa
(Petroski 2016). Another concern the residents of Iowa had was that the pipeline would
not directly benefit any public contributions to Iowa. In a March 2015 Des Moines
Register poll, it was reported that 57% of Iowans supported the Dakota Access Pipeline,
but 74% were opposed to the use of eminent domain on behalf of a private corporation.
And in a February 2016 Des Moines Register article, Dakota Access LLC said it had
voluntarily obtained signed easements for roughly 80% of the Iowa land parcels, which is
primarily farmland. There was, however a remaining 296 parcels that could’ve faced
condemnation proceedings if the pipeline was approved by state regulators who conclude
eminent domain was justified under Iowa law (Petroski 2016).
Most of the Dakota Access Pipeline is finished and what is being protested on
today is the remaining 1,100 feet in North Dakota. The pipeline as of now, is 87%
complete. Some of the concerns that are similar to those of standing rock was from the
farmers in Iowa. Farmers feared for their land like the Sioux tribe fears for its water
supply and historic relics. The farmers were particularly worried about the diagonal path
of the project’s route because it would interfere with farm tile drainage lines. The Dakota
Access LLC had promised it would repair and damage to tile lands and the pipeline will
60
�be far enough under ground that they would still be able to raise crops above the buried
pipeline (“Dakota Access Pipeline” 2015).
The pipeline has also caused extensive controversy because it would travel
directly underneath the Missouri River, the primary water source for the Standing Rock
Sioux tribe. The Standing Rock Sioux tribe has a population of around 10,000 and has a
reservation in the central part of North Dakota and South Dakota (“What to Know About
the Dakota Access Pipeline Protest” 2016). ETP insisted that they had taken
extraordinary measures to prevent any sort of disaster the pipeline might cause, but
opponents point out that even the safest pipelines leak. The Pipeline and Hazardous
Materials Safety Administration (PHMSA) has reported that there have been more than
3,300 incidents of leaks and ruptures of oil and gas pipelines since 2010 (Cozzarelli,
Skalak, Kent, Benthem, Mumford, Jolly 2016). Even if one leak or a minor incident did
occur, the spill could damage the entire tribe’s water supply. In addition, the pipeline
would run through the tribe’s sacred burial ground. And even though the land that will be
used for the pipeline is not directly on the reservation of the Standing Rock Sioux tribe,
tribal leaders contend that the federal government did not sufficiently engage the tribe
during the permitting process, which is a requirement under federal law (Healy 2016).
The Standing Rock Sioux tribe has been continuously vocal about opposing the
construction of the Dakota Access Pipeline, which has a lot to do with their drinking
water supply as said before, but also because it will be built over, and thus ultimately
destroying, sacred, centuries old land. Not only is this inhumane, but it could also be
potentially illegal. In Section 106 of the National Historic Preservation Act 1966
(NHPA), the Standing Rock Sioux tribe were not adequately consulted on the pipeline’s
potential impact on these cultural and ancestral sites. To summarize Section 106 of the
NHPA, it is required for Federal agencies to take into account the effects of their
endeavors on historic properties, and afford the Advisory Council on Historic
Preservation a reasonable opportunity to offer a statement of opinion (N.G. 2003).
Without this, the whole process of the pipeline concerning the land that affects the
Standing Rock Sioux tribe could be illegal and therefore it would be unlawful to continue
construction on that land.
Legal Context
As far as the legal matters go, the Standing Rock Sioux tribe sued the Army
Corps of Engineers, which permitted the project, for violating the National Historic
Preservation Act and the National Environmental Policy Act (NEPA). NHPA requires
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�that the Army Corps of Engineers have to regard the cultural significance of federally
permitted sites and NEPA needs to be considered on the account of the implications for
the waterways. The process was ongoing about what the final decision should be. On
December 4th, 2016 the agency decided to not grant the permit for construction on the
site and suggested that the pipeline be routed for an alternative route. However, ETP has
decided to continue construction without a permit (“Is Decision a brief timeout or a game
changer for Standing Rock?” 2016).
It was declared a victory for the protesters after the Army’s Assistant Secretary
for Civil Works, Jo-Ellen Darcy, announced that she would not grant a permit to Dakota
Access LLC. Her decision was based on a need to explore alternate routes for the Dakota
Access pipeline. Darcy also suggested that the discussion should continue on where the
alternative routes would be best for everyone through an Environmental Impact
Statement with full input and analysis. After this announcement, it was unclear how
durable the government’s decision would be. Especially since now there are news
reporting that Energy Transfer has stated that they will continue to drill at the current
location, despite having no permit, under the Missouri River (“Is Decision a brief timeout
or a game changer for Standing Rock?” 2016).
On top of the debate of whether or not the Dakota Access Pipeline will be
legally constructed, the police also have a force to be reckoned with. Many of the security
officers had used pepper spray, rubber bullets and concussion cannons, security dogs, as
well as many other uses of force on the peaceful protestors at Standing Rock. On a night
later in November, 21-year-old Sophia Wilansky had her arm seriously injured from a
concussion grenade that the police threw at her (Engler 2016). There is a continuous
debate on whether or not the police actually did throw the concussion at her, but
Wilansky holds her ground as well as the many other witnesses that say they saw the
incident.
Police have also used water cannons to fight off the protesters that have now
reached around 2,000 people. It was on the night of November 21st that the police and
protesters epically clashed. The protesters set fire to the police barricade Backwater
Bridge, which has for months been the site of a protest against the pipeline. The police
responded to this by shooting water cannons into the crowd of protesters in 23-degree
weather. That night it was reported by the New York Times that the Oceti Sakowin
medical team stated that nearly 200 people were injured and 12 people were hospitalized
for head injuries. Hypothermia was additionally a problem due to the freezing climate
(“Police Remove Pipeline Protesters in North Dakota” 2016).
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�Many people have been arrested for protesting the pipeline including actress
Shailene Woodley. She had become a major advocate for the Standing Rock Sioux tribe
since late September and after being sent to Morton County jail with 26 other protesters,
she publicly voiced the situation with what was happening in North Dakota. These arrests
have been ongoing and since August, a total of 575 arrests have been counted. It has
come to the point that the state’s court system is now facing huge cost overruns and
doesn’t have enough judges, lawyers and clerks to handle this situation. The cost of this
overpopulated protest based court issue is going to be around $1.5 million extra next
year, which is about 1 ½% of its current two-year budget. There are also problems
concerning public defenders. They are experiencing an imbalance of public defenders for
the influx of protesters, which will cost them an additional $670,000 from the
Legislature. This amounts to about 3-½ % of its current two-year budget (Bromwich
2016). As for the police force guarding the pipeline, the state of North Dakota has paid
more than $11.8 million and the department will seek another $7 million in emergency
borrowing on top of the $10 million borrowed earlier this year. Morton County has also
spent more than $8 million in policing the protests (Engler 2016). It is clear that the state
is running out of funds to keep the police force present in order to protect the pipeline.
The conditions of the jails are also an issue legally. Activists of the protest
described the jail cells being similar to dog kennels and they had been labeled by
numbers when taken in. One of the activists, Floris White, said she was arrested and then
transported by bus to the Morton County Correctional Center, where her and other protest
detainees were locked in cages in the facility’s garage (Bromwich 2016). Another
organizer, Mekasi Camp-Horinek said that he and his mother were arrested and then
placed in one of the metal enclosures together and wrote a number on his arm. There are
no beds in these facilities where they’ve placed the protesters. The Morton County
Sheriff’s Department said in a statement that the enclosures were “temporary holding
cells” that are composed of chain link fence and were only used when police made mass
arrests. The cells have also been permitted by the North Dakota Department of
Corrections. The department also claims that prisoners have access to bathrooms, meals
and drinking water. However, the protesters have called on the U.S. Department of
Justice to investigate the tactics used by authorities (Bromwich 2016).
Proponents
Proponents for the Dakota Access Pipeline are composed of the people
constructing the pipeline since they were employed to do so, Energy Transfer Partners,
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�and the people who currently own a share in stock in the operation like Donald Trump.
The argument is that the pipeline will contribute to the national economy as well as local
by its employment of 8,000 to 12,000 temporary construction workers and 40 permanent
operating jobs. The $3.78 billion job is proposed to spend $189 million out of that to pay
landowners as well. ETP also states that this pipeline will make the United States less
energy dependent even though we are the third largest producer of oil energy in the world
(Nemec 2016).
On the national level, Dakota Access LLC has stated that the increased domestic
crude oil production will translate into more energy independence for the United States.
Dakota Access also states that even though the United States is the third largest producer
in the world, it is as well the number one consumer of crude oil in the world. With this
pipeline they aim to close the gap between those two findings. The wish is to make the
United States less of an importer for crude oil because although in 2013, the U.S.
produced 7.5 million barrels of crude oil per day it had simultaneously still imported 7.7
million barrels per day in order to meet consumer demands. The goal is to eliminate the
middle-man of purchasing crude oil abroad and become a larger producer in oil. The
Bakken oil has been a goldmine for crude oil. It went from 309,000 barrels of oil a day
into 2010 to 1 million barrels a day in 2014. That is a significant increase and ETP wants
to build this pipeline because it is the most efficient way of reaching multiple U.S.
markets (“Dakota Access Pipeline” 2015).
For global economic impact, Dakota Access says the $3.78 billion investment
will create 8,000 to 12,000 jobs including 40 permanent. The construction phase required
millions of hours of labor for welders, mechanics, electricians, pipefitters, heavy
equipment operators, and others within the heavy construction industry. There is also a
demand for those who manufacture the steel pipes, fittings, valves, pumps and control
devices necessary for a major pipeline. Everything that could be made in the United
States was and that is mostly everything except for a couple of pumps and a little bit of
the pipe. This overall $3-4 billion project will translate into $20 billion in the economy
according to Dakota Access. In addition, the construction on the pipeline will boost local
economies through expanded use of hotels, motels, restaurants, and other services by the
workers (“Dakota Access Pipeline” 2016).
The pipeline will also convert into millions in state and local profits during the
construction phase and an estimated $129 million yearly in property and income taxes.
To the states of North Dakota, South Dakota, Iowa and Illinois, Dakota Access stated that
the pipeline will generate about $50 million yearly in property taxes and nearly $74
64
�million in sales taxes. This money translates into contributing to schools, roads,
emergency services, and more (“Dakota Access Pipeline” 2015). These are the arguments
used when Dakota Access LLC appealed to landowners as well in order to produce
evidence that it would boost their local economies as well as the national & global
economy.
The project will additionally aid farmers by lessening the strains in the Upper
Midwest railroads. Instead of using the railroads for transporting clean crude oil, the
pipeline will become the main use of transportation. Currently there is a lack of rail carts
to move grain out of South Dakota and the tariffs on the grain have increased from $50 to
almost $1,400 per car. These increases in cost can mean up to $1.00 from every bushel of
corn shipped, so The Bakken Pipeline will relieve transportation shortages for agriculture
and other industries (“Dakota Access Pipeline” 2015).
Opponents
Those who oppose the Dakota Access Pipeline include:
environmentalists, conservationists, scientists, celebrities, veterans, some farmers, and the
Native Americans. The main concern is about what is at stake with the environment if the
pipeline does leak or break. Greenpeace, a non-governmental environmental
organization, and a group of 160+ scientists dedicated to conservation and preservation of
threatened natural resources & endangered species have openly expressed their
opposition to the pipeline. In addition, the Science & Environmental Health Network has
also publicly spoken out against the pipeline (“A Sustainability Dialogue: The Dakota
Access Pipeline and subjugation of Native Americans” 2016).
Why exactly do over 160 scientists oppose the Dakota Access Pipeline? That is
because DAPL had not thoroughly assessed the negative ecological, cultural,
socioeconomic, and public health impacts of the people and animals in the surrounding
area. It appears that DAPL had haphazardly approached the extraction of natural
resources without going over the consequences of oil development. Pipelines do break
and there have been a reported 3,300 pipeline leaks in just the past six years
(Januchowski 2016). And in a Wall Street Journal review, it was reported that four in
every five-pipeline accidents were discovered by local residents, not the companies that
own the pipelines (“High-Tech Monitors Often Miss Oil Pipeline Leaks” 2016). The
practices that DAPL took to build the pipeline through these four states and their land
does not comply with recent Paris Agreement commitments to cut fossil fuel emissions
by 2030. In order to show their dissent on the matter, many scientists have signed a
65
�resolution in support of halting all construction on the DAPL unit until revised
environmental and cultural assessments are executed as requested by the Standing Rock
Sioux Tribe (Januchowski 2016).
Conservationists and environmentalists worry about safety, and the impacts on
air, water, wildlife and farming because pipeline lines do break. Environmentalists and
Native Americans have articulated their fears that the Missouri River might become
contaminated in the event of a spill or leak, jeopardizing a source of drinking and
irrigation water that affect thousands of people who depend on clean water (“A
Sustainability Dialogue: The Dakota Access Pipeline and subjugation of Native
Americans” 2016). Just in early December a pipeline, luckily with water, did leak due to
equipment failure. It leaked approximately 84,000 gallons of source water into Skull
Creek, in Bowman County, North Dakota. And in another incident in 2013 concerning
North Dakota, a pipeline owned by a subsidiary of US refiner Tesoro had leaked 20,000
barrels of crude oil into a wheat field, which equaled 10 years’ worth of onshore spilled
in just one incident according to data from the US Department of Transport (“Huge Oil
leak in North Dakota” 2013). Now these occurrences are just in North Dakota, but the
amount of pipeline leaks/oil spills in total and as stated before add up to 3,300 in just six
years.
The Standing Rock Sioux Tribe as well as being concerned about their water
drinking supply, are worried about the destruction of their sites that hold historic,
religious, and cultural significance. They say that this is where their ancestors hunted,
fished, and were buried. Protests at pipeline construction sites in North Dakota started in
early spring 2016 and drew the largest gathering of indigenous people throughout North
America in the last 100 years as well as many other supporters. They call themselves the
water protectors and land defenders. The Missouri River, more specifically Lake Oahe, is
where the Standing Rock Sioux Tribe gets their water supply and that is the exact
location where the rest of the 1,100 parcels of pipeline are to be finished (“A
Sustainability Dialogue: The Dakota Access Pipeline and subjugation of Native
Americans” 2016). And even with the harsh weather coming its way to North Dakota,
leaders of the Sioux Tribe said they will not leave their protest campsites near
construction zones, regardless of an order to do so from North Dakota Governor Jack
Dalrymple (Richardson 2016).
Veterans have also come into the mix of opposing the construction of the
Dakota Access Pipeline. On December 4th, throngs of about 2,000 veterans from the
group “Veterans Stand for Standing Rock” came to join the fight for Standing Rock’s
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�water supply as well as the indigenous peoples’ sacred land (Engler 2016). The veterans
announced that they would serve as human shields for the protestors and will protect the
innocent people. On this past Sunday, December 4th, 2016, veterans have done just that
by shutting down the ‘Standing Rock’ Bridge with their cars to protect protesters. And
just yesterday, December 5th, 2016, Michael Wood Jr., a Marine Corps veteran and the
organizer of the veterans for Standing Rock, and Wes Clark Jr., an Army vet, made a
formal apology to Native Elders for war and genocide by U.S. military (Engler 2016).
Celebrities such as Mark Ruffalo, Shailene Woodley, and Jane Fonda have also
publicly voiced their opposition of the Dakota Access Pipeline. Actor Mark Ruffalo spent
time in early November to join the protest at Standing Rock and was invited by Wahleah
Johns, founder of Native Renewables. Together, they delivered Navajo-made portable
solar panels to provide clean energy to power medical tents and other camp facilities as
winter approaches (Engler 2016). Actress Shailene Woodley also participated in the
Standing Rock protests and was arrested in October charged with trespassing and
engaging in a riot, both misdemeanors that carry a maximum punishment of a month in
jail and a $1,500 fine (Engler 2016). She will stand trial on February 22nd. Actress Jane
Fonda has also been actively participating in the fight on DAPL and the dangers
surrounding the construction. On Thanksgiving, Jane Fonda and Shailene Woodley
served dinner at the Oceti Sakowin camp for the protesters calling it an “Appreciation
Dinner” instead (“Is decision a brief timeout or a game-changer for Standing Rock?
2016). It is now stated that any contributions made to the protesters could be fined up to
$1,000, which is a message from the local sheriff’s office (“Is decision a brief timeout or
a game-changer for Standing Rock? 2016).
Media Coverage
The media coverage of the Dakota Access Pipeline had not covered the protests
in early September in the United States. However, there was International coverage and it
created uproar that would only get larger when protests started to erupt in the U.S. At the
time, construction workers bulldozed a section of land that tribal historic preservation
officers had documented as a historic, sacred site, and when protesters filled the area
security workers used attack dogs, which bit at least 5 of the people protesting. This event
was filmed and viewed by several million people on different social media platforms
such as YouTube and Facebook (“Is decision a brief timeout or a game-changer for
Standing Rock? 2016).
67
�Source: https://www.clutchmagonline.com
Later in October, armed soldiers and police with riot gear and military
equipment cleared an encampment that was directly in the proposed pipeline’s path.
Many celebrities such as Mark Ruffalo, Shailene Woodley, and Jane Fonda brought light
to the issue even further to the general public (“Is decision a brief timeout or a gamechanger for Standing Rock? 2016). And on November 15th, protesters in Chicago, Los
Angeles, Manhattan, Denver, and other cities held protests against the pipeline in a
coordinated protest which organizers called a “National Day of Action” (Healy 2016).
The lack of coverage from the media might have something to do with a lot of
journalists being arrested. Amy Goodman, a journalist with the Democracy Now!
program, was arrested while covering the protest for allegedly trespassing. Footage she
captured showed police officers allowing their dogs to charge protesters (Martindale
2016). She stated on October 17th that “[These charges are] a complete vindication of my
right as a journalist to cover the attack on the protesters, and of the public’s right to know
what is happening with the Dakota Access pipeline” (Martindale 2016). As of now, she is
still fighting those charges, so it is clear how hostile this environment is to conventional
journalists.
68
�Politicians Involved
The politicians involved in this dispute are both politically active and vocal or
completely silent on the matter, there is no in between. Politicians such as Green Party
Jill Stein as well as Vermont Senator Bernie Sanders have continuously been out spoken
against the construction of the pipeline while former presidential nominee Hillary Clinton
and President-elect Donald Trump have remained silent on the issue. President Barack
Obama had issued a halt on the construction of the pipeline, but many including Bernie
Sanders feel that this is not enough and he needs to talk action to stop the construction
permanently (“Is decision a brief timeout or a game-changer for Standing Rock? 2016).
Many other politicians have just become active in the DAPL protest such as Hawaiian
congresswoman, Tulsi Gabbard, as well as the senior Democrat on the Public Resources
Committee, Raul Grijalva (“Is decision a brief timeout or a game-changer for Standing
Rock? 2016).
Senator and former Presidential nominee, Bernie Sanders, has remained
continuously vocal against the construction of the Dakota Access Pipeline. He even
joined a protest in Washington, DC early in September to raise awareness on the pressing
issue of this pipeline possibly contaminating a whole drinking supply of millions of
people. In early October, Sanders and five other US lawmakers sent President Barack
Obama a letter asking him to shut down the pipeline all together and end the construction,
calling it an imperative measure for Indigenous rights and the climate (“Dakota Access
Pipeline Mounts 2016). On the National Day of Action, November 15th, Sanders stood
outside the White House demanding that we start fighting for our indigenous people and
that their sovereign right be honored. He also proclaimed that it is time for politicians to
stand up and protect access to clean water and push towards greener energy sources (“Is
decision a brief timeout or a game-changer for Standing Rock? 2016).
Green Party candidate and political activist, Jill Stein, has also participated in
the protests against the construction of the Dakota Access Pipeline. She is currently
facing charges from writing on one of the bulldozers saying, “I approve this message”
with other messages left by the protesters. This was after the protesters’ victory on
stopping the bulldozers that were trying to dismantle the native’s sacred land (“Is
decision a brief timeout or a game-changer for Standing Rock? 2016). She continues to
voice the concerns and opposition of the construction of the Dakota Access Pipeline.
Former presidential candidate, Hillary Clinton, had written a statement that said,
“We received a letter today from representatives of the tribes protesting the construction
of the Dakota Access Pipeline. From the beginning of this campaign, Secretary Clinton
69
�has been clear that she thinks all voices should be heard and all views considered in
federal infrastructure projects. Now, all of the parties involved—including the federal
government, the pipeline company and contractors, the state of North Dakota, and the
tribes—need to find a path forward that serves the broadest public interest. As that
happens, it's important that on the ground in North Dakota, everyone respects
demonstrators' rights to protest peacefully, and workers' rights to do their jobs safely.”
(“Is decision a brief timeout or a game-changer for Standing Rock?” 2016).
This statement doesn’t voice any concern for action, and she has remained silent
before and after she released this. Many of the youth protesting DAPL came to her
headquarters and demanded some sort of response, but with no prevail. She has been
useless as far as contributing to the protesters.
Presidential-elect Donald Trump has for the most part remained silent as well,
but has finally made a statement on December 2nd, 2016. He announced that he supports
the construction of the pipeline. This is probably because in May 2016, his federal
disclosure forms showed that he held between $15,000 and $50,000 in stock in Energy
Transfer Partners and around $100,000 to $250,000 in Phillips 66 (“Is decision a brief
timeout or a game-changer for Standing Rock? 2016). In addition, ETP had donated
$100,000 to a Trump Victory Fund before the election in the hopes that he’d support it
(“Is decision a brief timeout or a game-changer for Standing Rock? 2016). This makes a
conflict of interest when making presidential decisions affecting the pipeline, which is
why president Obama is being pursued even more to make a move to end the
construction.
Other politicians such as the senior Democrat on the Public Resources
Committee, Raul Grijalva, have publically proclaimed that this appearance of conflict of
interest is “disturbing” when it comes to Donald Trump. He also went to Standing Rock
in order to support the protesters and continues to voice his opposition to the
construction. Congresswoman, Tulsi Gabbard, will also be joining thousands of military
veterans and is a huge advocate for protecting our water sources for current and future
generations (“Is decision a brief timeout or a game-changer for Standing Rock? 2016).
III. Analysis
Although the United States will benefit economically from the Dakota Access
Pipeline, a lot of this is only temporary. Dakota Access LLC has employed 8,000 to
12,000 temporary jobs, but much fewer permanent jobs coming to about 40. The numbers
such as $189 million to landowners is essentially nothing because they are still left with
70
�$3.5 billion in profit as well as the $20 billion that will go into the economy is not
explained. I am not sure how they’ve made these estimates and where they’ve gotten
these numbers or what will come out of the proposed pipeline.
Furthermore, ETP explains how important the pipeline is to the United States
due to us being the number one consumer in the world and how they want to match that
demand. However, this goes against the Paris Agreement commitments to cut fossil fuel
emissions by 2030. I see how oil is very important to our economy, but we are only
focusing on temporary energy sources and need to be focusing on something long term
such as green energy sources. Oil will eventually run out and it will most likely not
happen in our lifetime, but we really need to start planning for future generations.
In addition, the Missouri river, specifically Lake Oahe, is at stake as well as the
Standing Rock Sioux tribe’s sacred land. If the pipeline does burst it will affect millions
of peoples’ drinking water. There have been 3,300 oil leaks in the past 6 years and they
have all been detrimental to the surrounding community. In the incident that I included
where Tesoro leaked 20,000 bbl of crude oil into a wheat field, it cost $4 million to clean
up and was detrimental to the wheat fields it encompassed (“Huge Oil leak in North
Dakota” 2013). ETP tried to reassure the tribe and farmers that the land the pipeline
transverses is of the highest quality and has a slim chance of leaking, but the number of
leaks that happened in the last 6 years say otherwise. I think it is time to stand up for the
Native Americans and put people ahead of corporate profit.
The Energy Transfer Partners CEO, Kelcy Warren, argues that this does not
traverse the land of the Standing Rock Sioux Tribe and they have every right to do
construction, but 1851 Treaty of Traverse des Sioux says differently. This treaty was
signed on July 23, 1851 and was between the United States government and Sioux
Indians for the agreement that the Sioux tribe would move onto reservations along the
Minnesota River in exchange for cash and goods (Kane 1951). With this treaty, it is clear
that Dakota Access LLC is not following former US signed documents and is technically
working against the law in order to build this billion dollar pipeline.
It is also unclear with what specifically happens if the pipeline does leak, how
the residents would know of a leak, why the company seeks for permanent right of way
of farmland when these oil rights can only be obtained for 25 years at a time, who the
majority of stock investors of Dakota Access are, and where the liability lies if the
pipeline does burst (Nemec 2016). The Iowa Environmental Council is concerned as to
whether or not the state has enough protections such as oversight on the company to
ensure it has enough money to address any harm caused by a spill. Iowa only requires
71
�pipeline owners to have $250,000 reserve fund, which will not be able to sufficiently and
thoroughly address the damage (“What to Know About the Dakota Access Pipeline
Protests” 2016). There are too many open ends to this pipeline, which is alarming.
Crude is a nasty material that is extremely destructive to environments as well as
highly toxic to human or animals if it should spill. It is not useful for energy or anything
else until it’s chemically processed or refined into commodities like naphtha, gasoline,
heating oil, kerosene, and many other forms. The water of the Standing Rock Sioux Tribe
is in critical danger and since it is apparent that ETP does not wish to stop construction
and the people in power are not making critical moves, it would be beneficial to map out
an alternative route much like what the Army’s Assistant Secretary for Civil Works, JoEllen Darcy, decided. I think it would be entirely more beneficial for not only us, but also
for the future if we started looking into greener energy sources that will not destroy the
environment. Moreover, there is an ambiguity regarding the amount of money put into
this pipeline and the $15 million spent on law enforcement to fight off the protesters
could be put to use in other things such as roads, schools, and other public entities.
IV. Conclusion
The $3.78 billion pipeline will no doubt produce millions, potentially billions of
dollars in revenue, but it is at the expense of the Standing Rock Sioux Tribe and millions
of others’ water supply and environment. Not to mention the land taken under eminent
domain with some having their land taken without consent. It is a tricky situation when so
much money is on the line, but it would be beneficial in the long run to focus this energy
on greener energy sources that will produce high amounts of energy without taking a toll
on the environment and it’s living organisms. It’s time to stand up for the Native
Americans and put people ahead of corporate profit.
V. References
ACHP | Section 106 Regulations Summary. (n.d.). Retrieved December 03, 2016, from
http://www.achp.gov/106summary.html
Author, N. G. (2003). Y-12 National Security Complex National Historic Preservation
Act Historic Preservation Plan. doi:10.2172/820902
72
�Bromwich, J. E. (2016). 16 Arrested at North Dakota Pipeline Protest. Retrieved
December 03, 2016, from http://www.nytimes.com/2016/11/21/us/dakota-accesspipeline-protesters-police.html
Cozzarelli, I., Skalak, K., Kent, D., Engle, M., Benthem, A., Mumford, A., & ... Jolly, G.
(2016). Environmental signatures and effects of an oil and gas wastewater spill in the
Williston Basin, North Dakota. Science Of The Total Environment,
doi:10.1016/j.scitotenv.2016.11.157
"Company Led by Donald Trump’s Energy Adviser Says Its Oil Will Flow Through
Dakota Access Pipeline." Global Research. N.p., 6 Sept. 2016. Web. 3 Dec. 2016.
Conca, James. Pick Your Poison. Retrieved December 03, 2016, from
http://www.forbes.com/sites/jamesconca/2014/04/26/pick-your-poison-for-crudepipeline-rail-truck-or-boat/
Dakota Access Pipeline. (2016). Congressional Digest, 95(10), 12.
Dakota Access Pipeline. (n.d.). Retrieved December 03, 2016, from
http://www.daplpipelinefacts.com/
Dakota Access pipeline protest costs mount, along with pressure on President Obama to
end standoff. (n.d.). Retrieved December 03, 2016, from
http://www.cbsnews.com/news/dakota-access-pipeline-protest-costs-pressure-presidentobama-standoff/
EDITORIAL: Is decision a brief timeout or a game-changer for Standing Rock? (2016,
December 6). Star Tribune (Minneapolis, MN).
Engler, M. (2016). Protectors vs pipelines. New Internationalist, (497), 25.
Epstein, R. A. (1985). Takings: Private property and the power of eminent domain.
Cambridge, MA: Harvard University Press.
Healy, J. (2016). A North Dakota Oil Pipeline Battle: Who's Fighting and Why. The New
York Times. p. A12.
73
�High-Tech Monitors Often Miss Oil Pipeline Leaks. (2014).
http://www.wsj.com/articles/SB10001424052702303754404579310920956322040
Huge oil leak in North Dakota. (2013). TCE: The Chemical Engineer, (869), 12.
Januchowski-Hartley, S. R., Hilborn, A., Crocker, K. C., & Murphy, A. (2016). Scientists
stand with Standing Rock. Science, 353(6307), 1506.
Kane, L. M. (1951). The Sioux Treaties and the Traders. Minnesota History, (2). 65.
Martindale, D. (2016). Still Defiant at Standing Rock. In These Times, 40(12), 32.
Nemec, R. (2016). Dakota Access Pipeline: A New Artery for Bakken Crude. Pipeline &
Gas Journal, 243(8), 16-17.
Petroski, W. (2016). 296 Iowa landowners decline Bakken pipeline. Retrieved December
03, 2016, from
http://www.desmoinesregister.com/story/news/local/government/2016/02/09/296 iowalandowners-decline-bakken-pipeline/80085982/
Police Remove Pipeline Protesters in North Dakota. (2016). The New York Times. p. A18.
Richardson, V. (n.d.). U.S. govt. sets deadline for Dakota Access Pipeline protesters to
leave federal land. Retrieved December 03, 2016, from
http://www.washingtontimes.com/news/2016/nov/26/obama-administration-setsdeadline-dakota-access-p/
Sisk, A. (2016). In Victory For Protesters, Obama Administration Halts North Dakota
Pipeline. NPR: Environment.
Standing Rock protest grows with thousands opposing North Dakota pipeline. (2016).
The Canadian Broadcasting Corporation (CBC).
The Economic Impact of the Dakota Access Pipeline. Retrieved December 03, 2016,
from http://undergroundvoices.co/2016/11/07/nodapl-dakota-access-pipeline-economicimpact/
74
�Thompson, J. (2016). The Dakota Access Pipeline Will Simply Create Profits. Not Jobs
or Energy Independence. Retrieved December 03, 2016, from
http://www.slate.com/articles/health_and_science/climate_desk/2016/11/the_dakota_acce
ss_pipeline_will_not_create_jobs_or_energy_independence.html
United States Statutes at Large. (n.d.). Retrieved December 03, 2016, from
https://en.wikisource.org/wiki/United_States_Statutes_at_Large (TREATIES)
U.S. government seeks to halt North Dakota pipeline construction. (2016). The Canadian
Broadcasting Corporation (CBC). http://www.cbc.ca/news/business/dakota-pipelineruling-1.3754964
What to Know About the Dakota Access Pipeline Protests. (n.d.). Retrieved December
03, 2016, from http://time.com/4548566/dakota-access-pipeline-standing-rock-sioux/
#NoDAPL: U.S. Army Denies Dakota Access Pipeline to Cross Through Standing Rock.
https://www.clutchmagonline.com/2016/12/nodapl-u-s-army-denies-dakota-accesspipeline-to-cross-through-standing-rock/
63, V., 53, A., & 67, E. (2016). A Sustainability Dialogue: The Dakota Access Pipeline
and Subjugation of Native Americans - Steemit. https://steemit.com/news/@victorlucas/a-sustainability-dialogue-the-dakota-access-pipeline-and-subjugation-of-nativeamericans
75
����Luca Pacioli, The Father of Accounting
Madison McNichol (Business Administration)1
The history of accounting traces back centuries, to a time when it was just part
of business and not a field of study. The study of the historiography of accounting
involves the study of how and why accounting had been written, how historical writing
on accounting had developed and the main topics and themes presented 2. Accounting
was born before it was a research field, and it was born because of Luca Pacioli. A
humanist, Pacioli extended his knowledge of mathematics in his complex work, Summa
De Arithmetica, that includes a treatise on book-keeping, ultimately altering the future of
accounting. The 27-page treatise is considered to be Pacioli’s greatest accomplishment
since it is still used in the same manner as presented years ago. There is a part of Pacioli
that fails to be comprehended. Pacioli not only set the principles of double-entry
bookkeeping but also gave an approach to teaching the subject in a unique way that
forever changed the history of accounting. Luca Pacioli was a man of pedagogic insight
with an expertise in attempting to grab the audience’s attention to maximize their
attempts of learning the material. He brought a subject of journal-entry bookkeeping to
life that is still taught today. Through the study of Pacioli’s childhood education, lifetime
encounters and professional successes, he emerged as the father of accounting.
“The father of accounting”, Luca Pacioli was born in 1445 around the eastern
border of the Florentine state.3 There is not much recorded information on Pacioli’s early
childhood but is thought that he spent most of his time in Venice.4 As a child, Pacioli
grew up in abbaco5 schooling, where he was given the foundation that he built on later in
Written under the direction of Dr. Alison Smith for HI362: Renaissance Italy.
def. Teodora Viorica Fărcaş. and Adriana Tiron Tudor. “An Overlook into the
Accounting History Evolution from a Romanian Point of View. A Literature Review.”
Economia Aziendale Online 2000 Web 7, no. 1 (January 2016):. doi:10.6092/20385498/7.1.72.
3 Martin Shubik. Proceedings of the Conference Accounting and Economics: In Honour
of the 500th Anniversary of the Publication of Luca Pacioli’s Summa de Arithmetica,
Geometria, Proportioni et Propotionalita, Siena, 18-19 November 1992. Routledge,
2014:162.
4 Ibid.
5 A school for sons of merchants. Ibid.
1
2
79
�life. Abbaco schools that Pacioli attended as a young child were schools attended by only
the sons of merchants and craftsman. 6 These schools were established through the
financial power of merchants for their offspring. This enhanced the curriculum to only
focus on the needs of merchants, since most of these children or young adults were
destined to be merchants like their fathers. Around 1460, Pacioli was under the guidance
of a famous merchant Antonio Rompiasi. 7 Together they grew into better businessmen
and Pacioli was able to learn the ropes of the business realm from Rompiasi.8 During this
time, Pacioli was attending abbaco classes at the Rialto School under master Domenico
Bragadin. Here, he was able to study geometry, algebra and theology, all of which is later
seen in his work, Summa De Arithmetica. While attending to his educational studies,
Pacioli was living with a prestigious mathematician, Leon Battista Alberti.
Young Pacioli gleaned much insight from the relationship formed from Alberti
and Rompiasi.9 Pacioli furthered his studies in the mathematical approach to business
from these very reliable scholarly mentors. Beginning in 1475, Pacioli moved to Perugia
where he began his profession in teaching. He started sharing his knowledge in teaching
but before long he carried on traditional behaviors of not staying put in a place for a
substantial amount of time. Pacioli left Perugia in desire to reflect on his religion and
become evolved in his different religious movements.10 During the Renaissance, Italy’s
Catholic Church had considerable wealth and had control over vast territories.11 The fall
of the Roman Empire led to the growing political and economic power of the church,
giving them the need for Pacioli’s intelligent mind for business and accounting.12 The
church wanted Pacioli’s help in its business aspects and that is exactly what he did when
Alan Sangster. Gregory N. Stoner, and Patricia A. McCarthy. “Lessons for the
Classroom from Luca Pacioli.” Issues in Accounting Education 22, no. 3 (August 2007):
447–57.
7 Ibid.
8 Rompiasi was a man of the current business world in regards to merchants. Martin
Shubik. Proceedings of the Conference Accounting and Economics: In Honour of the
500th Anniversary of the Publication of Luca Pacioli’s Summa de Arithmetica,
Geometria, Proportioni et Propotionalita, Siena, 18-19 November 1992. Routledge,
2014:169.
9 Ibid,170.
10 Ibid.
11 Valerio Antonelli. and Raffaele D’Alessio. “Accounting History as a Local Discipline:
The Case of the Italian-Speaking Literature (1869-2008).” Accounting Historians Journal
41, no. 1 (June 2014): 93-94.
12 Ibid
6
80
�he returned to Perugia in 1477 and began the preparation to share his knowledge. 13
Pacioli received his honor and fame during the Renaissance era because of his
profound teaching abilities and study of works. When Pacioli returned to the university
from his religious mission in Perugia, he taught students the application of mathematics
in everyday life.14 Pacioli learned from one of the best abbaco professors, Leonardo
Pisano Fibonaci,15 giving him the ability to demonstrate the “problem based learning”16
for business merchants. The approach presented the goal to establish general cases to all
and present transferable knowledge, applying mathematical skills (arithmetic, algebra,
geometry and trigonometry) to all merchandising situations, involving manufacturing and
exchange.17 Pacioli expressed Fibonaci’s mathematical concepts that included, using the
Arabic numerals 1-9, the ninth century algebra of Persian including the value of zero, a
number place value system, and how to perform calculations without the use of abacus.18
This is where Pacioli got some of his motivation from and during this era created his
outstanding piece of work that reshaped the world of business for generations to come.
In 1494, Pacioli used his previous education and mentorships to create his
groundbreaking masterpiece. Pacioli expressed his humanist morals through his work,
Summa de Arithmetica, intending to “extend knowledge to everyone, not just those with
the wealth to afford it”.19 He wrote in northern Italian dialect20 in hopes to make it
13 Martin Shubik. Proceedings of the Conference Accounting and Economics: In Honour
of the 500th Anniversary of the Publication of Luca Pacioli’s Summa de Arithmetica,
Geometria, Proportioni et Propotionalita, Siena, 18-19 November 1992. Routledge, 2014.
14 Martin Shubik. Proceedings of the Conference Accounting and Economics: In Honour
of the 500th Anniversary of the Publication of Luca Pacioli’s Summa de Arithmetica,
Geometria, Proportioni et Propotionalita, Siena, 18-19 November 1992. Routledge,
2014:168.
15 Alan Sangster. and Giovanna Scataglinibelghitar. “Luca Pacioli: The Father of
Accounting Education.” Accounting Education 19, no. 4 (August 2010): 425.
doi:10.1080/09639284.2010.501955.
16 l Alan Sangster. Gregory N. Stoner, and Patricia A. McCarthy. “Lessons for the
Classroom from Luca Pacioli.” Issues in Accounting Education 22, no. 3 (August 2007):
449.
17 Ibid.
18 Alan Sangster. and Giovanna Scataglinibelghitar. “Luca Pacioli: The Father of
Accounting Education.” Accounting Education 19, no. 4 (August 2010): 425.
doi:10.1080/09639284.2010.501955.
19 Ibid.,426
20 The Summa de Arthemitca was written in vernacular language of the day and in script
which was the form of writing taugh in the abbaco schools during the time period.
81
�accessible to all who traded in those markets across Europe. As mentioned before, Pacioli
was known for consistently being on the move and never being in one place for a
substantial amount of time. It has been said that Pacioli spent more than 30 years
gathering material that would be used within his writing of the Summa.21 He traveled
widely, starting as a young boy, and saw a variety of styles of teaching. He recorded the
material in manuscript texts, all being completed leading up to the final publishing of
Summa. Throughout his piece of work, he included commercial arithmetic; algebra;
weights and measures; barter; currency exchange; geometry; gauging22, the legal
framework of business; how to conduct a business; business ethics; record keeping;
business letter writing; and double-entry bookkeeping.23 He provided a 27- page treatise
on double-entry bookkeeping, which has been known to be the earliest evidence we have
on the subject of accounting and has stuck around.24
Pacioli created the Summa for what it is believed to be used primarily as a text in
all abbaco schools. 25 As previously noted, Pacioli received an abbaco education and later
on in life taught the abbaco education to fellow merchants and craftsmen. It was said that
within abbaco learning and a traditional abbaco education bookkeeping was not taught
and there was no such department as accounting.26 Pacioli was the first to change this for
merchants but also allowed not only merchants to be able to abide and learn from these
new findings he had discovered. Pacioli embellished his teaching techniques and abbaco
education through his work of Summa de Arithmetica. It was written in a way that Pacioli
is now known for teaching. It enlightened and informed in the didactic style it was
Ibid,425.
21 Alan Sangster. Gregory N. Stoner, and Patricia A. McCarthy. “Lessons for the
Classroom from Luca Pacioli.” Issues in Accounting Education 22, no. 3 (August 2007):
450.
22 how to determine the capacity, volume, or contents of an object; and precise
measurement of an object. Alan Sangster. and Giovanna Scataglinibelghitar. “Luca
Pacioli: The Father of Accounting Education.” Accounting Education 19, no. 4 (August
2010): 424. doi:10.1080/09639284.2010.501955.
23 Ibid.
24 Ibid.
25 Alan Sangster. Gregory N. Stoner, and Patricia A. McCarthy. “Lessons for the
Classroom from Luca Pacioli.” Issues in Accounting Education 22, no. 3 (August 2007):
451.
26 Alan Sangster. and Giovanna Scataglinibelghitar. “Luca Pacioli: The Father of
Accounting Education.” Accounting Education 19, no. 4 (August 2010): 427.
doi:10.1080/09639284.2010.501955.
82
�written, to instruct the audience. He reveals that he guided the audience to do as asked,
for it is what is “best” and he explained why this was so important to follow.27 For
example, in the introduction of Summa de Arithmetica, Pacioli states his “things are
necessary to the real merchant and the method of keeping a ledger and its journal well”.28
He also states that he did not write any of the Summa from scratch, rather he got practical
examples to demonstrate all concepts.29 He wanted to ensure not just how to do doubleentry and bookkeeping, but make sure it was performed appropriately. He provides
examples and instructions on how to record transactions using three primary books
known as the Memorandum, journal entry and the ledger.30
He split up his treatise into three different books for students to truly learn the
fundamentals of bookkeeping and the overall idea. The first book presented in the Summa,
includes the Memorandum, also known as the household expense book. Pacioli states “it is
meant by how it must be written up and by whom”.31 This included any purchase made or
anything sold for a household or business, Pacioli commands that all must be recorded. He
explained the urgency of this task through the style of his writing. He uses pedagogical
devices to drive home the understanding of the purpose of the Memorandum.32 He
describes at the beginning what is going to be covered and why it is relevant and then also
ties in the same key elements again at the very end of discussing the first book to his
treatise. For example, in the beginning he discusses the importance and why the
Memorandum is necessary and in the final pages of the explanation he stresses, “ but first
[always] listen to what is customary to enter in the Memorandum”.33 Pacioli presents the
idea to record everything in an orderly and very organized manner. This was the first time
this concept was developed and presented to the public, Pacioli knew this and for this
Ibid.
Lucas Pacioli. Double-Entry Book Keeping. London, United Kingdom: The Institue of
Book-Keepers, LTD,1, 1924.
29 Alan Sangster. Gregory N. Stoner, and Patricia A. McCarthy. “Lessons for the
Classroom from Luca Pacioli.” Issues in Accounting Education 22, no. 3 (August 2007):
448.
30 Ibid,449.
31 Lucas Pacioli. Double-Entry Book Keeping. London, United Kingdom: The Institue of
Book-Keepers, LTD,14, 1924.
32 Alan Sangster. and Giovanna Scataglinibelghitar. “Luca Pacioli: The Father of
Accounting Education.” Accounting Education 19, no. 4 (August 2010): 428.
doi:10.1080/09639284.2010.501955.
33 Lucas Pacioli. Double-Entry Book Keeping. London, United Kingdom: The Institue of
Book-Keepers, LTD,18, 1924.
27
28
83
�reason divided his treatise as mentioned. He summarized the most important principles at
the very end and sequenced the contents so that everything leading up builds onto what
was just presented. Starting with the Memorandum, Pacioli moves to the next step in the
idea of bookkeeping.
The second book that Pacioli provides insight on builds off of the Memorandum
book, called the journal entry. This begins the process of when mathematical values start
to play into effect, according to Pacioli.34 The importance of dates is stated, so that one
can always go back and look to find the exact day the transaction was made. Pacioli
states before anything how important it is that “those who have the habit of keeping three
books, as described, must never enter a thing into the journal entry before having it first
entered it in the Memorandum”.35 Pacioli uses his previous knowledge and experience to
complete the following style he wrote his book in. At this point, the audience should
understand the idea of simply recording what purchase or sale was made in the
Memorandum and following it with the Journal entry, including the date. Pacioli also
made clear that all entries must include one credit and one debit as he shows through
numerous examples. He explains how each entry has something that is gained and lost (in
possession or value depending on the situation). He presents how to prepare the entry,
showing the credit and debit, in a subtle approach not creating monetary value until it
increasingly get harder, then he adds the monetary values. This is done because it is said
that the material is hard enough and since not everyone has a merchant background, he
wanted to introduce the format concept before adding numbers. He explains how to set
the columns as if a monetary value was present, although in the beginning it was not. He
uses four money columns, one for each common used coin, Lire, Soldi, Grossi, Picioli.36
He does not put a zero in these spots but rather leaves them blank, with no value to ease
into the theory of Journal Entries. The students, or whatever audience was using this
informational book, learn how to prepare the entire document before values are included
and it becomes more complicated. Pacioli uses his abbaco education and teaching habits
in this aspect by easing the students through the material with consent examples, allowing
the material to get progressively harder. By the end of the chapter he begins introducing
Lucas Pacioli. Double-Entry Book Keeping. London, United Kingdom: The Institue of
Book-Keepers, LTD, 1924.
35 Ibid,.22
36 Alan Sangster. and Giovanna Scataglinibelghitar. “Luca Pacioli: The Father of
Accounting Education.” Accounting Education 19, no. 4 (August 2010): 430.
doi:10.1080/09639284.2010.501955.
34
84
�numeric values and establishes the Ducat37 value. The values are not difficult, rather
Pacioli wanted to drive home the importance and difficulty of the entry for book-keeping.38
The final part to Pacioli’s treatise continues building off each book and this final
stage connects all parts to book-keeping. This final stage, also known as the ledger,
allows the audience to take the monetary value and add it to the journal entry to make it
into a complete action. At this time, different aspects are introduced that, a merchant
would understand, but any other citizen would regard as new concepts. Pacioli explains
the interpretation of the ledger to be a double account of the journal entry to first identify
the date and second have all the debtors and creditors.39 In this section, the comparison
between capital and cash is discussed and their differences and importance identified.
Pacioli, again, uses his background abbaco education to provide those who are not
merchant families, an insight on how to keep track of their finances through the many
examples shown. Continuing, Pacioli touches on each different ledger, explaining which
elements would be categorized under each account. As he exemplified before, he starts
off by explaining and then providing practical examples for the audience to fully learn.
By the end of this segment, Pacioli talks about closing the ledger and the preparation that
is needed for the trial balance. He uses monetary values at this point, since he believes the
audience should have a substantial grasp on the theory of bookkeeping.40
It has obviously been expressed that Pacioli’s Summa was directed to merchants
but it certainly reached far more than just that audience. His writing has laid the foundation
for double-entry bookkeeping as it is practiced today. Over the last 150 years, it has been
translated into English five times and into at least 13 other languages41, showing the
impact of his work on society. One important element that played a huge factor in the
process of allowing Pacioli to reach the audience he did was through the establishment of
the printing press. The first known example of printing in Europe was published in Mainz,
Another important currency during this era. Ibid.
Ibid.
39 Lucas Pacioli. Double-Entry Book Keeping. London, United Kingdom: The Institue of
Book-Keepers, LTD, 1924.
40 Alan Sangster. and Giovanna Scataglinibelghitar. “Luca Pacioli: The Father of
Accounting Education.” Accounting Education 19, no. 4 (August 2010): 432-35.
doi:10.1080/09639284.2010.501955.
41 Alan Sangster. "The Printing of Pacioli's Summa in 1494: How Many Copies Were
Printed?" The Printing of Pacioli's Summa in 1494: How Many Copies Were Printed?
Accessed December 14, 2016.
37
38
85
�Germany in 145442. The first book, commonly referred to as the “Gutenberg Bible,”
printed 150 copies and was a very valued text43. By 1482, Venice had become the
headquarters for the printing press, mainly for the fact of having the cheapest paper
available.44 When 1494 came around, Paganino de’ Paganini took the credit for printing
the first of Pacioli’s Summa.45 In 1494, there is an estimate that around 500 copies were
printed, but many believe this number to be substantially higher. By the end of 1523 there
were 1,500 copies printed, reaching countries past Italy46. The establishment of the
printing press gave Pacioli the opportunity to reach the spectrum of people as he did and
essentially transform the history of accounting.
Pacioli, a man of many important tactics shaped the world of business and
everyday living, creating a masterpiece for all to benefit from. The Summa de
Arithmetica brought order to a chaotic world and measured the glory of all men and
women.47 Being born in the northern part of Italy and imminently starting his constant
movement around Italy, he benefitted from different mentors and influences, all of whom
affected his work. Pacioli held on to his childhood education views, attending an abbaco
school made for all sons of merchants and later on teaching these same views at the
university level. He always showed his humanist side by providing all with access to his
knowledgeable findings and ideas. Pacioli was one of the first to study the application of
mathematics and further these studies with practical examples he experienced throughout
his life. His life encounters, experiences and findings all led up to his Summa de
Arithmetica. With thousands of copies printed into multiple languages, Pacioli’s treatise
explained the importance of bookkeeping through three different books. Starting from
theory and conceptual to monetary values, each builds off the previous providing the
audience with an opportunity to fully understand the business world. Pacioli shaped the
history of accounting for all to come and was a true historical professor and publisher,
documenting one of the most complex works the field has seen.
Work Cited
Ibid.
Ibid.
44 Ibid.
45 Ibid.
46 Ibid.
47 Doug Bennett. “A History of Accounting.” Armed Forces Comptroller 60, no. 1
(Winter 2015): 7.
42
43
86
�Antonelli, Valerio, and Raffaele D’Alessio. “Accounting History as a Local Discipline:
The Case of the Italian-Speaking Literature (1869-2008).” Accounting Historians Journal
41, no. 1 (June 2014): 79–111.
Bennett, Doug. “A History of Accounting.” Armed Forces Comptroller 60, no. 1 (Winter
2015): 6–9.
Fărcaş, Teodora Viorica, and Adriana Tiron Tudor. “An Overlook into the Accounting
History Evolution from a Romanian Point of View. A Literature Review.” Economia
Aziendale Online 2000 Web 7, no. 1 (January 2016): 71–84. doi:10.6092/20385498/7.1.71-84.
Pacioli, Lucas. Double-Entry Book Keeping. London, United Kingdom: The Institue of
Book-Keepers, LTD, 1924.
Sangster, Alan, and Giovanna Scataglinibelghitar. “Luca Pacioli: The Father of
Accounting Education.” Accounting Education 19, no. 4 (August 2010): 423–38.
doi:10.1080/09639284.2010.501955.
Sangster, Alan, Gregory N. Stoner, and Patricia A. McCarthy. “Lessons for the
Classroom from Luca Pacioli.” Issues in Accounting Education 22, no. 3 (August 2007):
447–57.
Sangster, Alan. "The Printing of Pacioli's Summa in 1494: How Many Copies Were
Printed?" The Printing of Pacioli's Summa in 1494: How Many Copies Were Printed?
Accessed December 14, 2016.
Shubik, Martin. Proceedings of the Conference Accounting and Economics: In Honour of
the 500th Anniversary of the Publication of Luca Pacioli’s Summa de Arithmetica,
Geometria, Proportioni et Propotionalita, Siena, 18-19 November 1992. Routledge,
2014.
87
�Factors Influencing School Readiness
Cynedra Osinaike (Psychology and Government & Politics)1
This paper examines preschool and kindergarten children, to gain insight on their
learning environments, the quality of those environments, and the environments̕ influence
on school readiness. Learning environments have gained attention in recent years due to
the correlation between school readiness and early childhood care quality. Research
suggests that school readiness is an important predictor of later school outcomes. Which
may perhaps mean, children who start or transition into formal schooling with stronger
reading and math skills, tend to have higher achievement scores in elementary school.
Are all children, across the board, who transition into formal schooling well equipped
with school readiness skills? There are multiple factors that encompass children having
strong school readiness skills when transitioning into formal schooling. This research will
explore some important factors including the quality of care facilities, childhood
development, testing, and lastly students of color (minority students).
I. Introduction
Early childhood is a time of remarkable brain growth. These years lay the
foundation for successive learning and development. These foundational years are
important because this is the time where children are growing. They are also learning to
flourish socially, physically, mentally, emotionally, spiritually and morally. The first five
years of a child’s life are critical for development. The experiences children have during
this time help shape the adults they will become. More than anything else, a relationship
with a child can shape the way that a child learns, grows and develops. Development is a
term used to describe the changes in a child’s physical growth, as well as their ability to
learn the social, emotional, behavioral, thinking and communication skills one needs for
life. These areas are linked, and each depend on the influences of others, or rather who
they spend their time with (Keys, Farkas, Burchinal. 2013).
Children spend most of their time in child care facilities during development
years, or early childhood. Child care quality is often positively associated with child
1 Written under the direction of Dr. Miles Groth in partial fulfillment of the Senior
Program requirements.
88
�outcomes. And the quality of those settings is thought to be an important factor in young
children’s development. According to Pianta, Burchinal, Barnett, and Thornburg, high
quality settings for 3- to 5-year-olds include frequent warm and stimulating interactions
between caregivers and children and clear intentional instruction. When explored further,
child-care quality and relation to developmental outcomes will determine school
readiness. School readiness encompasses physical, cognitive, language, and behavioral
aspects of development (Keys, Farkas, Burchinal. 2013). Another perspective on school
readiness, is that it tends to focus on five domains: physical well-being, social and
emotional development, approaches to learning, language usage, and lastly cognition and
general knowledge (Kagan, 1992). National attention to “school readiness” was spurred
by a 1991 report of the Education Goals Panel, which established the goal that “all
children shall enter school ready to learn. The notion of “ready to learn” has since been
met with criticism and the argument that all children are ready to learn; the emphasis
should be on the degree to which a child is “ready for school,” or even whether the school
itself is “ready” to meet the needs of all children (Kagan, 1990).
Are school readiness skills dependent upon the quality of preschools? Keys,
Farkas, Burchinal raised similar questions; “to what extent are children’s school readiness
skills higher when they experience higher quality preschools? Do the effects of preschool
center quality on school readiness skills differ by child demographic background or child
entry characteristics such as cognitive skills, attention skills, and problem behaviors?” It
is important to note before developing answers that both federal and state governments
invest heavily in providing (presumably high quality) child care as a means to improve
school readiness skills for children (Comber, 2014). This implies that child care quality
is significant to our education system. The current investigation will look at the factors
that involve: school readiness, early care quality, transitions from informal to formal
education and importance of testing, and lastly students of color.
II. Review of Literature
Since the 1950s, researchers have investigated how external factors can
influence or predict student success in school, and particularly school readiness (Milner,
1951). Readiness is a term used to describe preparation for what comes next. As stated
above, school readiness encompasses physical, cognitive, language, and behavioral
aspects of development (Keys, Farkas, Burchinal, 2013). Many other definitions of
school readiness can be found in the research literature. For some, school readiness
relates to students’ cognitive abilities (Nobel, Tottenham, & Casey, 2005). For others,
89
�readiness is more related to maturational, social, and emotional domains of development
(Ray & Smith, 2010) or to whether students have the tools necessary to work effectively
in a classroom setting (Carlton & Winsler, 1999). This paper defines school readiness as
how prepared a child is for what they are expected to know and do in academic settings.
Children spend most of their time in child care facilities during development
years, or early childhood. In addition to this, children experience socialization through
encounters with other people. Through daily interactions over many years, acceptable
social customs are taught and fostered. Other children as well as adults can have a great
impact on a broad range of issues in the child's life, including achievement in school.
What is important to note is that schools and teachers are held accountable for student
achievements. Due to this, preschool programs are widely seen as an important and costeffective means of getting children ready for school, especially children at risk for
academic difficulties (Reynolds & Temple, 2008). Children who enter school not ready
for typical learning experiences continue to have difficulties in later school years.
Research suggests that academic school readiness is an important predictor of later school
outcomes. Children who start formal schooling with stronger skills tend to have higher
achievement scores in elementary school.
Young children are increasingly entering academically demanding school
settings where an emphasis on accountability and standards has replaced an emphasis on
child development. However, many young children enter school unprepared for both
academic and social expectations. Research suggests (Aunola, Leskinen, Lerkkanen, &
Nurmi, 2004) that if students enter kindergarten at a disadvantage, early gaps in
understandings of literacy or mathematics tend to be sustained or widened over time; this
appears to be particularly true for children of poverty (McLoyd & Purtell, 2008).
Identifying strategies that move young children toward becoming independent learners,
to increase the likelihood of their school success in later years is imperative.
In order to achieve this vision, we must first identify the specific characteristics
or factors that enable certain children to enter formal schooling at an advantage while
others enter at a disadvantage. It has been well established that early exposure to poverty
is linked to children’s future functioning along multiple domains, including behavior
problems, self-regulatory skill, and academic performance (Linver, Brooks-Gunn, &
Kohen, 2002). There is a clear, detrimental relationship between growing up in a poor
family and children’s cognitive functioning and academic performance. Prior research
has found negative life events to be related to children’s cognitive skills and behavior
problems (Roy, & Raver, 2014). Children living in poverty also have higher levels of
90
�behavior problems than more privileged children. One might ask how this research
connects with preschool quality and school readiness. Thus, there is this pending question
of how outside factors effect children’s social emotional heath and school readiness.
Children raised in poverty are less likely to have crucial needs met than their
more affluent peers are and, as a result, are subject to some grave consequences. And
those same impoverished children are those that attend lower quality early care programs.
It is truly central to note, experimental literature suggests that higher quality care can
have a lasting impact on development when that care begins during the early childhood
years (Belfield, Nores, Barnett, & Schweinhart, 2005). With the knowledge that higher
quality early care and education programs expect to close the gaps in children’s school
readiness; it is crucial to understand the ways in which social settings can affect academic
achievement. Essentially, the inquiry revolves around defining quality and child care. But
ultimately, figuring out what is the concerning differences and factors among low/poor
quality and high quality early care programs.
Defining Quality and Child Care
Quality, most broadly, includes attributes of caregiver/child interactions, the
degree of developmental stimulation in the physical and social environment, how time is
spent, and structural domains such as amount of space for play and educational status of
the caregiver (Dowsett, Huston, Imes, & Gennetian, 2008). These attributes are important
for child care, as they are a part of the foundation of childhood development. The
literature on child-care environmental quality is primarily based on both constructivist
theory, in which the adults’ role is to provide children with rich materials that promote
child-initiated exploration, and sociocultural theory, in which the adults’ role is to
provide frequent sensitive and responsive interactions with children (Vygotsky, 1962).
These attributes go hand in hand with non-parental child care.
McCarthy and colleagues (2007), said that children participate in different types
of non-parental care at different moments in their years before starting kindergarten,
often for different reasons. A parent returning to work, tends to be the primary reason for
non-parental care, before or within the first year or two of a child’s life. However, there
are negative effects in children who begin non-parental care before one or two years of
age. Those children who begin non-parental care at very early ages, generally are those
from low-income families…and unfortunately those children later demonstrate the largest
behavioral and socioemotional deficits. The beneficial effects of care are associated with
later experiences. Children who begin center-based care between the ages of 2 and 3
91
�years demonstrate the largest cognitive/school readiness gains (Loeb, Bridges, Bassok,
Fuller, & Rumberger, 2007). Understanding how different care arrangements at different
developmental moments influence children’s growth is important for enforcing child care
policy. It is also important for informing the broader range of social and economic
policies that shape family life at the interconnection of work and child rearing.
The Concerning Differences in Low/Poor Quality Care
Low quality care involves a setting in which the caregiver does not interact often
with the children, and when said caregiver does, care at times can be harsh and critical.
Children prosper cognitively, emotionally, and socially in programs with fewer children
per group or per adult staff member, with caregivers who are sensitive and responsive to
children, with well-educated and well-paid staff, and with low staff turnover.
Unfortunately, child care programs with these characteristics are rare (McCartney et al.,
2007). Among children of all income levels in child care centers, about 15% are thought
to be in child care centers of such poor quality that their health or development is
threatened. Such settings might have clear safety hazards such as broken glass on the
floor, poor sanitation practices, unresponsive caregivers, or few toys for the children.
About the same percentage of children are thought to be in child care centers that actually
promote child development—that is, they are in programs that have the positive
characteristics described above. The remaining 70% are in centers that are only
mediocre—neither helpful nor harmful (Votruba-Drzal et al., 2004).
In general, the extant research suggests that children benefit from time in nonparental care when the quality of the child care environment is high. Particularly so for
children in low-income households, where child care quality appears both to buffer
against the negative effects of a resource-poor home environment, and potentially tries to
improve the quality of the home environment by decreasing parental stress and enhancing
parenting knowledge and skills. Some of the differences in child care effects may be
attributable to differences in the quality of care children receive both in child care and
when they are at home (Votruba-Drzal et al., 2004). Research suggests that child-care
programs can benefit children’s socioemotional development, especially when quality is
high and among children from low-income families (Votruba-Drzal et al., 2004).
Fortunately, depending on settings and situations, high quality preschool experiences for
children from low-income families are more cost efficient than any interventions
delivered later in their lives (Jeon, Langill, Peterson, Luze, Carta, & Atwater, 2010).
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�The Concerning Differences in High Quality Care
High quality care is characterized by sensitivity and responsiveness, generous
amounts of attention and support, and high levels of verbal and cognitive stimulation.
Compared to children in settings with less engaged caregivers, children with high quality
daily interactions tend to display stronger cognitive and language development, school
readiness, and early school achievement. High quality care has been found to be
especially effective in improving academic outcomes for children growing up in poverty
or facing other risks at home. Higher quality prekindergarten programs are associated
with more positive child outcomes (Burchinal, et al. 2000). Preschool children in
classrooms that are characterized by warmth and high instructional support display better
development of language and behavioral skills than children in lower quality classrooms.
The higher the quality, the greater the short and long-term positive impact on children’s
development.
Transitions
Maher, & Bellen (2015) stated that, the transition to the first year of formal
schooling is multidimensional and complex; it also involves a major change and period of
adjustment in children’s lives. In order to understand transitions, one must understand the
difference between formal and informal education. Groobman, Forward, & Peterson,
state that formal education is providing an education that includes and determines a rigid
and strict working plan and procedure that has the least possibility of deviating from the
set procedures. These plans and procedures are classified in such a way that the
achievement of pre-determined objectives of education can be evaluated at the end of the
entire educational process. In simple words, formal education includes a strict and well
planned method to provide essential educational experience to students so that the desired
educational objectives may be achieved. Educative agencies like school, library,
recreation centers, reading rooms, religious institutions come under the heading of formal
agencies to provide education as they always follow a defined and particular method to
provide educational experience to the people who come in contact with them.
On a similar note, informal education, or agencies of education, includes
unpremeditated or non-definite method to provide education to students. The informal
education system does not contain any strict or rigid plan to reach a desired and predetermined educational objective. Just the same as formal education, informal education
has clear educational objectives. However, those educational objectives are defined on
the wide connotative range. It is very much dependent upon the person who experiences
93
�these objectives (Groobman, Forward, & Peterson, 1976). Informal education does not
follow any specific or particular method to convey educational experience to their
students but provide education in some form which is distinctly absorbed by its students.
There is a pressing question of, does informal education, or informal agencies of
education effect transitions positively or negatively?
To make the transition from preschool or kindergarten to formal school. This
involves a ‘significant ecological shift’, with children having to navigate increased
academic social demands, as well as physical changes in their learning environments
(Ladd, 1996). The transition to school marks a change in their identity and status—that
being the shift from a child to a pupil. With this new identity, children need to negotiate
all the intricacies of a school’s culture, particularly the ways in which teaching and
learning is conducted. There is a significant shift from a play-based pedagogy in prior-toschool settings to a more structured, cognitive learning environment in formal schooling
(Maher, & Bellen, 2015).
Research has indicated that only 32% of fourth-graders in the United States have
met literacy proficiency standards. Furthermore, minority children have disproportionately
performed below minimum proficiency standards in both literacy and mathematics (Reyna,
2005).There is this fear that is “supported by national surveys of kindergarten teachers
who report that their primary concern is that children—particularly those living in
poverty—are not entering kindergarten with the basic learning behaviors and socialemotional competencies that they need to transition successfully into a formal learning
environment” (Rimm-Kaufman, Pianta, & Cox, 2000). This then affirms the significance
of early childhood education and the necessity of effective early identification and
intervention.
Young children exposed to social and biological risk factors are at greater risk
for not developing foundational competencies, placing them at future risk of poor school
performance (Sameroff & Fiese, 2000). Furthermore, “quality early care and education
have been found to promote positive school outcomes, particularly for vulnerable young
children living in poverty” (Kolker, Osborne, & Schnurer, 2004). There is a growing
awareness that some children transition into formal schooling more readily than others.
Compelling evidence indicates that children familiar with the skills and knowledge
associated with the dominant practices of literacy teaching in schools have an
advantage…there is often a disjuncture between the literacy experiences of children from
minority backgrounds and those they encounter on entry into formal schooling.
94
�Are those who receive low/poor quality care put at a disadvantage, when it
comes to transitioning into formal school settings? Does the start of a child transitioning
into formal schooling, determine where they end up? A positive start has the potential not
only to assist children’s future academic and social competence, but also to ensure that
families and children feel valued and comfortable in school (Dockett et al. 2010). The
time is ripe to strengthen efforts in early education, during the primary grades, to support
kindergarten transition and the school years.
III. Observations
In an effort to gain further insight on the importance of school readiness in
preschool and kindergarten children, I decided to dedicate my time and field work to the
Early Childhood Center. I worked with Mrs. Rucci and the two-year old children. My
focus was on factors that determine preschool and prekindergarten classroom quality. I
observed firsthand how being active with the children, continuously keeping them
involved, teaching them how to constructively follow rules, and supporting them
promoted positive results.
The Early Childhood center is split into four classes, the classes range in ages
from 2-5 (preschool to kindergarten age). Although there are four different classrooms,
the children benefit from their teachers keeping them all connected with having visit
days. A visit day is a special day. During visit days, at least two teachers combine their
classrooms. This allows the children to interact with their peers that are at different
levels. Which is imperative because when these students transition from early care into
formal schooling, they will encounter students who have different types of capabilities or
succession rates. However, because children at this Early Childhood Center are
experiencing high quality care, they are more likely to have positive child outcomes.
A Typical Day at the Early Childhood Center
School starts at 9am every Monday through Friday, unless there is a holiday.
The children are eager to play, (and when I say play I do mean learn). Every morning
starts the same. The children fill the gazebo next to Parker Hall, as they wait for their
fellow classmates to exit their parent vehicles. Once every child that is supposed to be at
school for the day arrives, they grab a hand of a teacher and walk to the classrooms in
campus hall. Once in their designated classrooms, children place their belongings into
their assigned cubbies. Mrs. Rucci encourages the children to be independent, which
enhances decision making. The teachers also feel that it is important for the children to
95
�practice facial recognition, so the children are told to grab their picture person and place
themselves on the wall near their cubbies; as a way of checking into school!
After that, the children are taken to the bathroom and wash their hands. After
clean hands, they “choga-choo-choo” train back to the classroom for circle time! During
circle, the children sing songs, identify what day, month and year it is. They also
determine what the weather is like outside. Another big part of circle time is getting each
child to say their name. Mrs. Rucci goes around and asks the children to introduce
themselves to the class by saying their name. Of course, this is done in a song. After the
introductions, each child is given a specific job to do throughout the day. The children
then listen or read along during story time. Following circle time is playtime, along with
an arts and craft activity. Since I started at the Early Childhood Center all the arts and
craft activities have been Halloween or Fall themed. The teachers and graduate assistants
facilitate each arts and crafts activity. It can be anything from painting to gluing or
pasting.
During playtime, I observed how the children play and use their imaginations.
They play with playdoh, dolls, cars/trucks, all kinds of toys! They build Legos, very tall
up and pretend they are construction workers and crash the Legos down. They also have a
classroom sandbox, that they love to play in. There is also a kitchen set and play food,
that the children are very interested in. I personally think their favorite playtime
activities are the sandbox, Legos, and the kitchen set. When playtime has come to an end,
the child that was chosen to conclude playtime at the beginning of the day during job
distributions, rings a bell to end playtime. I get to observe these children play, and be
creative. This is my favorite part of my day.
I am almost positive that snack time is every child’s favorite part of the day.
Snack time would be equivalent to the time of day when we adults eat lunch. In each
classroom at the Early Childhood Center, snack time is done the same across the board.
Directly after the bell rings to conclude playtime. The teachers (in my case Mrs. Rucci),
play instrumental music to bring the children to a calm. The teachers do this so that they
can transition into snacks. During the music, the children are asked to put their heads on
the table and relax. While this is happening, the graduate assistants are preparing snacks
for the children, such as: goldfish, cookies, animal crackers and water or juice. Again,
Mrs. Rucci is big on allowing the children to be independent so they get to choose
between water and or juice (usually apple). But, in order to receive snacks each child
must say please and thank you, as this teaches social awareness “Do’s and Don’ts!”
96
�After snack time, there is another circle time, full of more book reading/listening
and activities. Before the conclusion of the day, the children either have another playtime
inside or on the playground. To conclude the day the children grab their belongings,
check themselves out of school (facial recognition) and go back to the gazebo to await
their parent’s arrival!
Dissection of My Placement
While discussing the specifics of everyday life at the Early Childhood Center is
important. I must note what I have observed in regards to my research. There are several
things that I have witnessed at The Early Childhood Center that I’d like to touch base on.
There are the quality of care, the importance of routines and the importance of play.
1) I truly believe that children who attend the Early Childhood Center receive high
quality care. The teachers and graduate assistants that work at the Early
Childhood center, are very involved. The kids leave their homes with their
families, and come to school to gain and join another family. The teachers are
very respectful of each child’s needs. No matter any differences or no matter at
what rate a student learns, teachers consistently support each student. There is a
need to give the children of the Early Childhood center undivided attention and
respectful sensitivity.
A specific case: There is a child who from first glance seems to struggle. She
struggles with speech, responsiveness, listening, comprehension, instruction, and
basic communication skills. She truly lacks social cues. The teachers noticed
fairly quickly, her dissimilarities from a “normal” child at her age. Mrs. Rucci,
immediately pulled her file, to search for an explanation as to why there is a gap.
While waiting on her file, we continued to observe this child’s actions. Some of
her actions:
Delayed Responses to Questions. For example, if she were asked
multiple times to sit down, she will either stare at you blankly, or say
thank you and not sit down. Someone will physically have to pick her
up and sit her down, in order for her to follow instructions.
Listening. For example, a bell is rung every day to conclude playtime,
and every child knows this. A perfect example of her not knowing how
to follow instructions or follow social cues, is when a teacher rings the
bell to conclude playtime, and she continues to play, although all the
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�students around her are picking up the toys, placing the toys where they
belong, and where they originally found the toys.
Self-Awareness. For example, when children are walking to the
playground or even on the playground they are all very independent.
She, however, is wailing and is afraid of walking across the play set at
the playground. She constantly needs assistance in regards to certain
activities.
Social Cues. For example, when she is either told to play or sit down,
she will continuously either sit in a chair where a child is currently
already sitting in, or try to play with a toy that a child is already playing
with.
There is a plethora of outstanding factors that grasped our attention, and they
have continued. But as her teachers continue to work with her, those factors
have improved. She is gaining self-awareness, communicating better and
gaining social cues. And lastly, she is actually listening and responding at a
greater speed. This for me is why quality care is so incredibly important.
Imagine if she went to a center where teachers have so many other children to
look after and cannot pay attention to her needs. Which most likely would mean
that she would not have gotten the attention she needed in order to progress.
2) In the Early Childhood Center, there is such a stress on routines during this
period in their lives. Specifically, in regards to the structure and layout of their
day. These children encounter the same activities every single day. Each activity
is held to such importance, which can be helpful to the children. I feel children
should be exploring and encountering different activities and lessons daily.
Instead children are performing the same tasks, and activities every day.
Children are not broadening their horizons, so in what regard can this be harmful?
A specific case: There is a specific child who has been in the same classroom
since he arrived at the Early Childhood Center. He is a year older than the rest of
the children in his class, he is three. This child has been active in basically the
same routines for about a year and a half now. Is this child growing? Now what
is important to note, is that he is a leader in his classroom. He is very energetic
in every activity. But, personally I feel as if he is stagnating. He answers all the
questions during circle time and story time. His teachers have to ask him not to
speak to give other students a chance to engage. Even when he doesn’t speak,
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�the other students either do not feel comfortable enough yet, as they are two
years old, or they truly do not know the answer. At what point does this
continued silencing of this child interfere with his growth?
3) Lastly, in the Early Childhood Center play is important. Especially play of the
children, where they are learning how to be independent. Being independent is
important because it gives children a chance to make their own decisions and
gain self-awareness.
A specific case: There is a child that is not independent. She always asks for
help, no matter what the task is. Even as small as picking up a piece of chalk,
she will ask someone to hold her hand, and come with her. She is an only child,
thus the teachers feel as if her parents cater to her every need. They have
stressed allowing her to make her own decisions. By allowing her to be
independent, especially through play, we have observed a switch in her wanting
to do more for herself. She now says these phrases: “I’m a big girl, and I can.”
IV. Discussions
When I first started at the Early Childhood Center I was unsure of the route that
I wanted to take, in regards to research and any resulting publications. But as I continued
my observations, I noticed an emphasis on routines and schedules; specifically with
preschool and prekindergarten children. I am aware that some routines at this age are
vital, for example: hygiene training, social awareness Do’s and Don’ts, and following
rules. However, these children execute the same activities everyday around the exact
same time. As it should be for children this age, their activities mostly revolve around
play. On the other hand, I'm wondering how these environments better prepare children
for first through third grade, and essentially onward. Children in preschool and
kindergarten are learning their ABC’s, how to count, how to interact with individuals
their age, how to listen, how to follow restrictions or rules, and lastly genuinely playing
and learning to identify with their own interests. Which are all great skills for children at
this age, but starting at first grade children will be heavily tested on literacy, mathematics
and language skills. In some states, e.g. New York, preschoolers are mandated to take
exams concerning each child’s future needs (Early Screening Inventory-Revised, ESI-R2)
and each child’s progress (The Iowa Test of Basic Skills, ITBS3). However, preschoolers
2
3
More detailed information on the ESI-R can be found in Appendix A.
More detailed information on the ITBS can be found in Appendix B.
99
�are not being tested on the material learned in classrooms and receiving feedback in the
form of a grade or percentage. Consequently, most children that come out of preschool
and kindergarten have limited experience with written, individual environments that
focus on testing the new subject matter that they have studied.
My observations have gone into figuring out if preschools and kindergartens are
at fault or is the education plan through first and third grade at fault. There is an
additional pending question of should children be tested, to be placed into levels based on
their intelligence of subject matter, at this age. From my observations, children are not
ready for testing environments, based on their day to day tasks. Furthermore, I believe
that tests on material studied does not accurately indicate a student’s full potential.
Currently in our education system, grades are weighed so heavily in predicting a
student’s future, and success. That measurement is too often misread. The types of tests
given do not reveal important details regarding an individual’s true capabilities. They are
subject to pervious influences, and factors at hand during the testing process. In addition,
they in no way show learning styles, creativity, personality, or individuality; these are key
elements in assessment, especially in children. Our education system pushes children too
quickly. As said above “Research has indicated that only 32% of fourth-graders in the
United States have met literacy proficiency standards (Reyna, 2005).” More and more
teachers are concerned for the students that are entering into formal schooling. One may
ask why? Children “are not entering kindergarten with the basic learning behaviors and
social- emotional competencies that they need to transition successfully into a formal
learning environment” (Rimm-Kaufman, Pianta, & Cox, 2000).
Another issue we need to study, is complex social problems. Such as poverty
and unequal educational outcomes to be well-versed in how to approach such issues. It is
imperative to take into account the countless issues that influence school readiness in
children. Some problems, as I stated above, in short are: the quality of care facilities, low
income families versus affluent families; and the care that children receive because of
those factors (either at home or in early care). Child care is increasingly viewed as an
opportunity to enhance children’s development and school readiness. Because of this
there is a high correlation between child care, later success, and the grave detriments of
low/poor quality facilities.
While compiling my research, I noticed a plethora of issues and immense
problems in our education system that I’d like to introduce: 1) the education system needs
to recognize student capabilities (positive or negative) and the rates at which students
100
�succeed. 2) There are general biases that tend to effect students of color (specifically
African American or Black boys).
1) There is an excess of students who are capable of succeeding and exceeding
their peers. Luckily in New York City, Gifted and Talented (G&T) programs are
one way that the New York City Department of Education supports the needs of
exceptional students. G&T programs aim to deliver accelerated, rigorous, and
specialized instruction aligned to Common Core Learning Standards (Gifted &
Talented, 2016). Yet, in some school systems these students are not being
recognized, which creates a lag in their learning. The school system needs to
distinguish these students and their capabilities of excelling at faster rates. But to
identify that students learn at different rates, either positively or negatively,
would create a separation between assessing students. When there are situations
where students are recognized for exceeding their peers, in some school
systems, parents are convinced that their child’s social upbringing could be
effected. Furthermore, that learning things at a higher capacity and level, would
push their child too fast, and ultimately stunt their growth. Personally, I feel a
healthy push is always necessary in a classroom setting. Most students who
should move up a year or grade level who do not, end up not being challenged,
which could eventually be a detriment on the child’s grades. And, unfortunately
in our education system, grades are weighed so heavily and are used to measure
intelligence. If a child is capable, they should be pushed in these types of
situations.
2) “In spite of the advancements of the civil rights movements, black boys and men
generally remain excluded from good jobs, schools, and neighborhoodsˮ
(Brown, Dancy, & Davis, 2013). Thus, the practice of de facto racial segregation
is one strategy of control that illustrates how politics of containment persist amid
societal laws that abolish such maneuvers. For instance, formal desegregation in
schools gave African American boys and men access to educational attainment;
however, possessing the right to be in a public space, such as schools, did not
necessarily translate into the right of equitable treatment in those public spaces
(Brown, Dancy, & Davis, 2013).
There are numerous studies and education policy reports that have
documented the lower school readiness skills, both in terms of achievement and
social competence, of Black children compared to their White peers (Aud, Fox,
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�& KewalRamani, 2010). Especially for black boys, “black males remain one of
the most socially and academically marginalized student groups in US schools”
(Brown, Dancy, & Davis, 2013). This group is put at a disadvantage because
most teachers are unsure of how to identify a healthy way of advocating and or
dealing with students of color. Most teachers assume because of behavioral
issues or repetitive situations of acting out, that there are early childhood deficits
like special needs or ADHD. As a result, these boys are labeled at a young age
for disorders that they most likely do not have. Which then places them into
classroom that unfortunately are not challenging them enough. Thus these males
are bored in class, not caring, and end up being trouble makers. Which in some
cases can lead to them being kicked out of school and on the street, and most
likely in jail, i.e., the school to prison pipeline. “The school-to-prison pipeline
refers to the disturbing national trend in which children are funneled out of
public schools and into juvenile and criminal justice systems” (Brown, Dancy,
& Davis, 2013). But we tend to disregard the fact that these teachers simply do
not understand these students and how to deal or find ways to help them cope.
“For instance, disparate learning and discipline trends flow from assumptions
that black males are ‘unteachable̕ and ‘up-to-no goodˮ’ (Brown, Dancy, &
Davis, 2013). The “black males misbehaving” narrative (Clarke, 1991), which
expresses, affirms, and authorizes popular fears and anxieties around raced
bodies, intersects with school sanction.
In regards to formal learning, I’d like to discuss classroom quality and quality
care. I will be introducing two quotes that I will compare to my observations of the Early
Childhood Center.
1. Classroom quality is increasingly seen as a critical aspect of a child’s preschool
experience (Howes et al., 2008). Quality is so imperative it can determine
multiple factors for children outcomes. Thankfully at the Early Childhood
Center, children are receiving high quality care. Children have caregivers who
are very much engaged. The children are receiving generous amounts of
attention and support. No matter the level or difficulty that it takes, the children
always come first. The children are being pushed to think for themselves.
2.
High quality care is characterized by sensitivity and responsiveness, generous
amounts of attention and support, and high levels of verbal and cognitive
stimulation. Compared to children in settings with less engaged caregivers,
102
�children with high quality daily interactions tend to display stronger cognitive
and language development, school readiness, and early school achievement
(Burchinal, et al. 2000).
Thankfully at the Early Childhood Center, children are receiving high quality
care. Children have caregivers who are very much engaged. The children are receiving
generous amounts of attention and support. No matter the level or difficulty that it takes,
the children always come first. The children are being pushed to think for themselves.
“High quality care has been found to be especially effective in improving academic
outcomes for children...Higher quality prekindergarten programs are associated with
more positive child outcomes (Burchinal, et al. 2000). Preschool children in classrooms
that are characterized by warmth and high instructional support display better
development of language and behavioral skills than children in lower quality classrooms.
The higher the quality, the greater the short and long-term positive impact on children’s
development.”
Finally, while conducting my research, a point of interest are the types of
engagement that children in the Early Childhood Center encounter. They will most
definitely be encountering free play, group or individual instruction. As the research
concluded, high quality care is imperative for the success during later years for children.
As I stated in my observations, the Early Childhood Center is a high care quality facility.
However, are they types of engagement that the children at the Early Childhood Center
are encountering, helpful or harmful? Chein et al. 2010, have helped draw conclusions to
this question. “The assessment of quality is typically at the classroom level and involves
global assessments across all activities. Chien and colleagues (2010) investigated the
types of engagement young children could encounter in child care settings (free play,
group or individual instruction, and scaffolded learning). Children in settings with more
free play showed smaller gains than their peers on literacy and mathematics indicators at
the preschool level” (Chien, Howes, Burchinal, Pianta, Ritchie, Bryant, Clifford, Early, &
Barbarin, 2010).
V. Summary and Conclusions
A plethora of questions and statements have been raised that need to be
answered, and addressed in order to draw conclusions to the influencing factors of
childhood school readiness. This research discussed school readiness, early care quality,
transitions from informal to formal education and importance of testing, and lastly
103
�students of color. All of these factors go into determining school readiness of a child. As
the research continued there is one undecided question in regard to school readiness.
Should a child be ready for school or should the school be ready for a child? There is an
argument that all children are ready to learn; the emphasis should be on the degree to
which a child is “ready for school,” or even whether the school itself is “ready” to meet
the needs of all children. These statements begin to draw some conclusions in regards to
school readiness factors.
I'm hoping that this thesis will spark conversation and cause others to conduct
further research in regards to the betterment of care quality, school readiness of
preschoolers or kindergarteners, their transitions from early care to formal schooling,
testing measurements, the overwhelming biases towards students of color, and lastly
school readiness. As stated above, early childhood is a time of remarkable brain growth.
Children at this age are in the prime of their developmental years. These years lay the
foundation for successive learning and development. These foundational years are
important because it is the time when children are undergoing rapid development. The
experiences that these children have will shape the adults they will become.
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�Appendix A: Mandated Test for Preschoolers in New York City
The Early Screening Inventory-Revised, ESI-R, provides a brief developmental
screening instrument designed to be individually administered to children from 3 to 5 years
of age. It identifies children who may need special education services in order to perform
successfully in school. Research has shown the ESI-R to be highly reliable and valid. The
instrument addresses developmental, sensory, and behavioral concerns in the following
areas: Visual Motor/Adaptive, Language and Cognition, and Gross Motor Skills. The
focus under Visual Motor/Adaptive skills: fine motor skills, eye-hand coordination, short
term memory, and ability to reproduce two and three dimensional forms and structures.
The focus under Language and Cognition: language comprehension, verbal expression,
ability to reason and accountability to remember and repeat auditory sequence. The focus
under Gross Motor Skills: gross motor coordination, and the ability to imitate body
positions from visual cues. Ultimately the ESI-R identifies children who may need further
evaluation to determine if they have a condition that may place them at risk for school
failure. It samples domains of developmental tasks, rather than the domain of specific
accomplishments that indicate academic readiness. Finally, it survey’s a child’s ability to
acquire skills rather than child’s current level of skill achievement and performance (Early
Childhood, 2017).
Appendix B: The Iowa Test of Basic Skills
The ITBS is a standardized achievement test for students in kindergarten through
eighth grade. The test is tailored specifically for different grade levels. Developed by the
College of Education at the University of Iowa, the ITBS is used to monitor year-to-year
progress and can help supplement teachers in their observations about student capabilities,
such as what a student’s most and least developed skills are. The ITBS has been in use
since 1935. The test is available at different levels for students at different grade levels.
The batteries aim to help determine how prepared students are for academic instruction,
what individual accommodations may be necessary, which students may require early
intervention, and to determine each student’s individual baseline of achievement.
Questions are delivered orally by the teacher and response options are pictures, words or
numerals, as appropriate. Approximately 30 minutes are given for each test. The Level 5
Battery is given to children in kindergarten. It emphasizes early childhood academic skills,
such as listening vocabulary and math, and assesses how prepared a child is cognitively to
begin the academic curriculum. Level 6 is given to students in the fall and midyear of first
grade and is similar to Level 5, though it also includes an optional reading test for those
students who are ready to have their literacy skills assessed (Erin Hasinger, 2009-2016).
110
�Internalized Racism and Indoctrinated Religion:
Alice Walker’s “Convergence” and The Color Purple
Madison J. Ruff (English)1
In Alice Walker’s novel, The Color Purple, and short story, “Convergence,” she
seeks to give her readers insight into the complex spiritual identities of American black
women. In both stories she addresses how internalized racism and indoctrinated religion
are inextricably linked and, though Walker does not explicitly condemn religion (or the
Judeo-Christian God), she explores the racism innate to many of the images and
assumptions surrounding these religious institutions. Through these two narratives,
Walker reveals how being a part of an oppressed people can add further layers of
complexity to an already multifaceted personal religious/spiritual identity. While
Walker’s characters illustrate some positive aspects of formal religion, her narratives
primarily work to expose the Western appropriation of Christianity and identify the sexist
and racist implications of said appropriation. She also implies through these narratives
that in order for her characters to fully develop their racial and spiritual identities, they
must separate themselves from the indoctrinated religion they internalized, take a few
steps back to gain new perspective, and shape their own spirituality.
In the Western tradition, white men have overly shaped biblical interpretation
resulting in a biased and jaundiced teaching. Such bias contributes to the internalization
of racist attitudes/beliefs in non-white communities, towards members of one’s own
ethnic group, including oneself (internalized racism). Those in power often
subconsciously project their own agendas, biases, and superiority complexes onto its
message and then convey this distorted message to those below them as pure, honest-toGod truth. In order to confirm themselves as authoritative, those in power maintain
specific agendas and biases. Such understandings are distorted views of reality in which
they are “rightly” or “naturally” in power. The powerless, the disenfranchised, and the
oppressed are often told that this distorted reality is simple pure, honest-to-God truth. As
a result of this process of naturalizing an artificial power structure, the oppressed people
can develop a deep, formidable, and insidious double consciousness. When Shug explains
why she and Celie pictured God as an old white man, saying, “[…] that’s the [God] that’s
1
Written under the direction of Dr. Alison Arant for EN 342: The Contested South.
111
�in the white folks’ white bible”, Celie vehemently responds, “Shug! […] God wrote the
bible, white folks had nothing to do with it” (Walker 35). Celie, like so many others,
bought the story that the Bible’s message has gone untampered with by those who teach
it. The challenge of living with this internalized racism and double consciousness is, as
W.E.B Du Bois puts it in his book, The Souls of Black Folk, “always looking at one’s self
through the eyes” of a racist white society, and “measuring oneself by the means of a
nation that looked back in contempt” (Du Bois 3). This kind of religion-induced double
consciousness penetrates deeper than that perpetuated by secular societal discrimination
because people believe these principles come from God himself, springing from a
spiritual truth. In the same way people are assigned and blindly accept an “innate”
(entirely arbitrary) value based on skin color, many people also blindly accept the racism,
sexism, and other farces of religious teachings in that the same unquestioning manner
because the preacher-man said so.
While some of Walkers characters fall prey to internalized racism, others resist
it by parodying and exposing it. In Subjectivity in the American Protest Novel, Kimberly
Drake describes double consciousness as being split between the, “[…] limiting racial
identity and an unlimited ‘human’ identity, so that to be ‘raced’ in the United States is in
practice to be viewed categorically, through the lens of stereotype, which dehumanizes
the individual being viewed” (2). In Walker’s stories we witness the protagonists wrestle
with their racial identities and the stereotypes their societies have assigned them. In
“Convergence” Adrianne is frustrated with the condescending manner in which Mrs.
Thomson speaks to her and her mother, so she rebelliously adopts an exaggerated
“Southern, uneducated, Black” accent to demonstrate her frustration and highlight the
absurdity of the condescension: “Thet’s jest zackly whut ah mean to say, mz Thomson”
(Walker 5). Adrianne exposes and parodies what Mrs. Taylor expects of her by using
subversion. As Drake writes, the heart of this double consciousness is, “inhabiting both
identities: not simply “American” and “Negro,” but American observing subject and
Negro object of observation” (Drake 2). Walker’s protagonists are not free to simply be
individuals (observers) but are also aware of being observed (and judged/stereotyped);
this is a heavy awareness to operate under. Adrianne is aware of Mrs. Thomson’s gaze,
she recognizes the injustice at work, and uses subversion to play this White woman’s
condescension against her.
Drake explains that double consciousness is both a psychological disorder and a
survival strategy, a fact explicitly exposed in both The Color Purple and “Convergence”.
As a result of this double consciousness, the women in these stories both reject and cling
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�to their assigned racial, religious, and gender identities. While Adrianne and Shug reject
the stereotypes being projected on them, Celie initially retreats into the stereotypes she
has been forced to embody. Drake suggests that, “constructing [a] kind of therapeutic
mirror” (Drake 15) helps in the process of deconstructing double consciousness and
reconstructing a positive personal identity. We see Celie do this kind of deconstruction
and reconstruction in The Color Purple and Adrianne in “Convergence”. They attempt to
take a step back, take apart, reevaluate, and reconstruct their views of themselves, trying
to identify and disempower the lies that have been projected on them—and their
spirituality— by society. Celie writes, “Well, us talk and talk about God, but I’m still
adrift. Trying to chase that old white man out of my head. I been so busy thinking bout
him I never truly notice nothing God make. Not a blade of corn (how it do that?) not the
color purple (where it come from?)” (Walker). She struggles to let go of the deeply
internalized racial fabrications she has been trained to believe, demonstrating how deeply
these beliefs are ingrained into one’s psyche as a child. Adrianne thinks to herself, “She
wondered if she would ever recover from her mother’s faith? She thought not” (Walker
6). Although Adrianne is referring to her ability to let go her mother’s faith, Walker
intentionally parallels this statement with all the racial/political conversation in the short
story. Though they struggle with finding a complete release from these institutions and
beliefs, these women are freeing themselves, to an extent, simply by reevaluating such
structures, so while they can’t totally undo the way double consciousness shapes them,
they are not totally controlled by it either.
This race-based double consciousness is inextricably related to the religious
structures within these two Walker stories. Indoctrinated religion can be defined as
uncritical, unquestioning acceptance of religious doctrine. This kind of indoctrination
implies forcibly or coercively causing people to act and think on the basis of a certain
ideology— or in other words, brainwashing in the name of Jesus. Walker highlights a
distinct difference between this kind of blind conditioning and personal spirituality. The
protagonists in Walker’s novel and short story resist the clutches of white-run,
patriarchal, organized religion and instead they seek a spirituality apart from those racist
and sexist institutions. Other authors have also captured this relationship between
internalized racism and indoctrinated religion in a similar fashion; in Maya Angelou’s
autobiographical novel, I Know Why the Caged Bird Sing, she writes of her younger self
perceiving racism and injustice through the eyes of a (Black) child: “Of course I knew
God was white too, but no one could make me believe He was prejudiced” (Angelou 4950). This quote captures a certain irony— she believes God is not prejudiced, but her
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�very perception of Him as White exposes prejudice and internalized racism. The Color
Purple captures this same complex, the intertwined relationship between religion and
race through Celie’s initial view of God as a white man.
Historically, women have had less say in the conversation about who God is—
not for lack of insight or opinion, but because they are often not allowed a voice in the
discussion— and therefore masculinist bias plays out with bold assurance and selfrighteousness in some religious contexts. The characters in Walkers̕ stories
reclaim/redefine their “God” in a powerful way; they examine their internalized biases,
sorting out the strawman from the real thing. One cannot discuss religion and racism
without discussing gender and sexuality, especially when dealing with Alice Walker.
Shug and Celie specifically address the intersectional nature of religion, gender, and race
in The Color Purple. Shug says, “You mad cause he don’t seem to listen to your prayers.
Humph! Do the mayor listen to anything colored say?” (Walker). In the same way the
characters have racial stereotypes projected on them and religious beliefs impressed on
them, these characters also have gender roles and sexual expectations forced upon them.
For instance, Celie is married off to Mr.______ without any consideration to how she
might feel about it, and then expected to have sex with this new husband regardless of her
complete lack of desire and repulsion, “I don’t like it at all. What is it like? He git up on
you, heist your nightgown round your waist, plunge in. Most times I pretend I ain’t there.
He never know the difference. Never ast me how I feel, nothing. Just do his business, get
off, go to sleep” (Walker). Celie is trapped by the societal expectations, and this
oppression prevents her from feeling autonomous, worthy of happiness or pleasure, or
even fully human. Therefore, in order to become the truest version of herself she must
also reevaluate this gender and sexual component of her identity. There is a kind of
rebirth alluded to here as Shug tells Celie, “Why Miss Celie, she say, you still a virgin”
(Walker). In the same way girls are told their virginity is renewed when they ask for
forgiveness and are “born again” in Christ, Celie is given new life, a salvation of sorts, in
her life-giving relationship with Shug.
As Walker’s characters outgrow traditional monotheism, they simultaneously
reject their previously held patriarchal beliefs; these two developments are not mutually
exclusive. This intersectional overlap is further explored in Hankinson’s essay, “From
Monotheism to Pantheism: Liberation from Patriarchy in Alice Walker’s the Color
Purple”, in which she studies this transformation of gender/sexual identity as it relates to
religious/spiritual identity, writing:
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�Celie’s conversion from a monotheistic view of God (or traditional
Christianity) to a more pantheistic outlook represents and parallels her
movement from feelings of oppression under domination of patriarchy
into a sense of connectedness with others and self-acceptance at which
she ultimately arrives by the novel’s end. (Hankinson 320-321)
Though many critics entirely credit Shug with Celie’s liberation by exposing Celie to
what a healthy, constructive, and sexually gratifying relationship can be, Hankinson
claims that Celie may never have been receptive to Shug’s sexual advances if she hadn’t
already been on the path towards pantheism and away from monotheism. Celie
simultaneously distances herself from traditional monotheistic religion and patriarchal
oppression. By claiming that Celie is liberating herself sexually and as a woman by
liberating herself from monotheistic doctrine, Hankinson suggests that these religious
institutions are oppressive in regards to gender. Hankinson claims, “[…] it is only as
Celie diverges from patriarchal family structure and perspective of God that she acquires
her first sense of self-acceptance. She resists the imposed negative self-image and
develops a previously unprecedented confidence” (Hankinson 325). Patriarchal laws of
Western Christian religion oppress women in their search for place and identity and it is
only by breaking free of these traditional institutions and ideologies that women can find
self-acceptance and empowerment. When Shug and Celie discuss sex and pleasure, Shug
says, “God loves all them feelings. That’s some of the best stuff God did. And when you
know God loves ‘em you enjoys ‘em a lot more. You can just relax, go with everything
that’s going, and praise God by liking what you like”, Celie asks, “God don’t think it
dirty?” and Shug replies, “Naw[,] God made it. Listen, God love everything you love”
(Walker). Walker illustrates this phenomenon in Celie, Shug, Nettie, and Adrianne’s
narrative arches as they shed their oppressive beliefs and structures, develop their own
spiritual understandings, and assert themselves as independent, free-thinking agents.
Walker also introduces some positive aspects of organized religion in
“Convergence” and The Color Purple, demonstrating that she is not so enraged by, or
biased against, the church that she entirely writes it off completely, adding an important
layer of nuance to Walker’s critique. At the end of her somewhat anti-church monologue,
Adrianne pauses to admit that, “[…] whereas the few God-deniers she knew had thrown
themselves from fifteen-story apartment windows and others ‘flipped out,’ her mother
stayed sane as an ant” (Walker 6). Adrianne (and arguably Walker) implies that religion
has a way of keeping people sane. Having a set belief system can be stabilizing and lifeaffirming— Mrs. Taylor feels secure in her identity even if some of her underlying
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�beliefs include internalized racism. In The Color Purple, Celie’s letters to God provide
her with a certain security even when she is speaking to the white bearded man in the sky.
By simply writing to God she does not feel so alone and these letters set Celie on the path
to self-awareness. In both stories indoctrinated religion is not entirely vilified and certain
characters advocate for it; however, according to Walker, the hypocrisy and oppressive
tendencies of the indoctrinated religion overshadow these positive aspects. However, this
security and comfort that institutionalized religion offers is a double-edged sword; when
Celie and Mrs. Taylor resist doubting or critically thinking about their beliefs they also
fail to see the harmful ideologies interwoven with their faith.
Walker is not alone in recognizing the racism and hypocrisy within the Western
church. She builds upon the criticisms of those before her and without addressing how
other civil rights activists and Black Americans reproached the church, one cannot fully
understand Walker’s contribution to the ideological conversation. Benjamin E. Mays
book, Born to Rebel: An Autobiography, he expresses similar frustration and
disappointment. Despite his many criticisms of the (White) church, Mays did not
inherently oppose Christianity— after all, he was a Baptist minister— but he was deeply
critical of certain aspects of religious institutions. Walker’s (and Mays’) criticisms of
indoctrinated religion do not spring from the spirituality and moral lessons within the
bible, but rather from what White men have done with them and how these white-washed
ideologies have been indoctrinated and institutionalized on such a wide scale. Mays,
though he does not abandon monotheism in the same way Walker does, still resists letting
his own religious views blind him to the realities of the dark side (racist side) of the
church, vehemently claiming, “the local white church has been society’s most
conservative and hypocritical institution in the area of White-Negro relations” (Mays
241). Similarly, in a speech Derrick Bell gave at the National Black Law Journal 25th
Anniversary Conference, he spoke about how we often study racism through economic,
political, and cultural lenses, but then introduces, “the possibility of a deeper foundation
growing out of an undeniable fact: Most racists are also Christians” (Bell qtd. in Taylor
1). Here Bell speaks directly to that same difficult reality facing Christians of all colors
(and the characters in Walker’s stories) as they grapple with their religious, ethnic, and
moral identities. As a preacher, Mays could explain racism in religious terms, “The sin of
man asserts itself in racial pride, racial hatreds and persecutions, and in the exploitations
of other races. Religious categories may most deeply capture racist belief. The sin is one
of pride” (Mays 240). In the chapter “The Church Amidst Ethnic and Racial Tensions”
Mays writes, “Within the past quarter of a century, Christians have been forced to think
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�about the bearing of their faith upon the problem of racial discrimination […]” (Mays
241). He addresses how Christians must reconcile the morality of their faith with the
historically immoral way their religious institutions have dealt with racism. Mays
explicitly laid the foundation for Walker’s critical approach to religion in her feminist
fiction.
By injecting that moment of religious sympathy at the end of Adrianne’s antichurch monologue, she demonstrates a certain understanding of the potential positive
components of these traditional Christian beliefs. Similarly, George Taylor concludes,
“Race, Religion and Law: The Tension Between Spirit and its Institution” with:
Theological and religious categories help us understand both the
functioning of civil religion and its limits. For our purposes, the concern
is not that civil religion’s faith-like character should be eliminated. That
would be to reject the positive, constitutive, and properly aspirational role
that civic religion may play […] Rather, the concern, particularly in areas
such as civil rights, is that faith in law not become dogmatic, insular, and
immune to criticism from external values such as religious faith. As
throughout, the goal is to maintain the tension-both in criticism and
insight-in the relation between religion and law. (Taylor 67)
Walker’s solution to the problem of indoctrinated religion, accomplishes a version
of what Taylor suggests. By having her characters separate themselves from religious
structures, they are not “eliminating faith” but discovering truths and unearthing a
spirituality that does not oppress, degrade, or inhibit them.
The generational divide in regards to religion as seen in “Convergence” is most
explicitly visible in the relationship between Adrianne and her mother, Mrs. Taylor. Their
argument, which mostly concerns racism and civil rights, also seeps into the realm of
religion; even in the brief passage we see the ties between blind religious faith and blind
internalized racism. The way Adrianne speaks about her mother’s acceptance of racist
ideology is almost identical to how she speaks about her mother’s acceptance of religious
ideals.
Part of why Mrs. Taylor refuses to doubt her faith (and why Celie initially resists
doing so) is because they are afraid to be angry with God or disagree with the church.
This could mean going to hell. Shug and Adrianne— and eventually Celie— give
themselves permission to doubt and rethink. Celie writes:
I can’t even remember the last time I felt mad, I say. I used to git mad
at my mammy cause she put a lot of work on me. Then I see how sick
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�she is. Couldn’t stay mad at her. Couldn’t be mad at my daddy cause he
my daddy. Bible say, Honor father and mother no matter what. Then
after while every time I got mad, or start to feel mad, I got sick. Felt
like throwing up. Terrible feeling. Then I start to feel nothing at all.
(Walker)
The goal is not to get angry and stay angry; it is to allow oneself to be justifiably angry at
injustice as a part of the stages of grief of letting one’s old identity die and bloom into
someone new and authentic. Mrs. Taylor is more resistant to questioning her faith simply
because of her age. She internalized these “truths” her whole life—decades longer than
Celie— and, frankly, she is closer to death and therefore closer to the potential
consequences of renouncing/revising her faith (heaven or hell). However, at the end of
“Convergence”, when Mrs. Taylor’s resolve wavers, she finally allows herself to get
angry. This is her first step in identifying and admitting that injustices is at play. By
simply articulating her frustrations to her mother and introducing new ideas about
equality into the conversation, Adrianne helps Mrs. Taylor cross over from denial (due to
the internalized racism) to a new perspective. In order for her characters, regardless of
age, to fully develop their racial and spiritual identities, they must (to some degree)
separate themselves from the indoctrinated religion they internalized; they must take a
few steps back to gain new perspective and take ownership of their own spirituality.
“Convergence” is deeply autobiographical in nature and this aspect of the
narrative gives depth to our understanding of the characters. In “The Evolution of Alice
Walker”, Cynthia Cole Robinson touches on some of the parallels between Walker and
Adrianne. She writes about Walker’s close relationship with her mother, telling the story
of how her mother and her local church congregation helped her pay for college: “Walker
did not have to search very far to find other black women with persevering strength and
character. [Walker] writes of women in her church and how they worked tirelessly to
support the church and her. When Walker was offered a scholarship to Spelman College
in Atlanta, the ladies of the Methodist church collected $75 to bless her on her way and
this was a nice sum of money for impoverished women to raise” (Robinson 305). This
parallels Adrianne’s narrative: “How else could [Mrs. Taylor] have sent Adrianne to
college on twelve dollars a week? There was something miraculous about that, one had to
admit” (Walker 6). However, Robinson then explains how Walker began, “to see the
oppression of her Methodist church and Christianity as a whole”; this was partially
because Walker’s mother tirelessly served the church by cleaning it every week, but,
unlike many of the male volunteers and members, she was never invited to speak, “In
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�fact, [women] were forbidden [to preach] according to the Christian doctrine that they
were being taught” (Thomas qtd. in Robinson 492). As a result of the treatment of
women in the church, the fact that God has been represented as white, the way in which
Christianity was forced on the slaves, and the depiction of Eve causing the fall of man,
Walker does not believe in indoctrinated religion. She states, “I don’t believe there is a
God, although I would like to believe it. Certainly I don’t believe there is a God beyond
nature. The world is God” (Gardens qtd. in Robinson). Walker has never been shy about
sharing her personal theological and pantheistic beliefs. This outspokenness helps readers
better understand Celie, Shug, and Adrianne’s movement away from the church to
discover their own truths, a trajectory that mirrors that of their author.
Understanding Nettie’s narrative and religious/spiritual journey is vital to fully
grasping Walker’s theological prerogative in The Color Purple. Both the significance of
the missionary narrative and the way Nettie and Celie come to similar spiritual
conclusions, despite being worlds apart, are both significant plot points that contribute to
the religious, spiritual, and racial attitudes of the novel. In Lindberg-Seyersted’s article,
“Who is Nettie? and What is She Doing in Alice Walker’s The Color Purple,” she
explores Nettie’s role from the beginning (analyzing the way Celie’s talks about her sister
in her initial letters to God), and then through the letter correspondence between Nettie
and Celie. Lindberg-Seyersted writes, “The greatest change that Nettie’s African
experience has had on her is in her view of religion. When she leaves Africa, her idea of
God and the divine is no longer the orthodox one that the church at home had taught her.
The Olinka have made her see the divine in many more forms than the one presented in
the Bible and in Christian religious art” (Lindberg-Seyersted 84). The fact that Nellie and
Celie arrive at similar spiritual conclusions while thousands of miles apart speaks to the
truth of their conclusion. They did not read this pantheistic philosophy in a book or hear
someone preach on the subject, but instead, they arrived at this conclusion purely through
life experience, realizing the biases and injustices at the heart of the religious institutions.
There is also a connection between Nettie and Mrs. Walker. Nettie is deeply involved
with institutionalized religion as well and Nettie’s eventual denunciation of traditional
Christian doctrine proves there is hope for escape for anyone, even someone like Mrs.
Taylor who clutches to these beliefs for dear life. And as I stated before, even she shows
potential for rebellion at the end of her tale.
Walker recognizes the potential purpose-giving, community-creating, identityaffirming, philanthropic qualities of formal religion, and these sympathies are visible in
both “Convergence” and The Color Purple; however, these stories are arguably more
119
�influenced by the sexist and racist aspects that have hijacked traditional Christianity as a
result of the Western appropriation of the religion and human’s natural proclivities for
pride and subjugation. Through Adrianne’s somewhat sympathetic attitude towards her
mother’s religious beliefs, we see a glimpse of Walker’s sympathies, but Walker also
illustrates the dark side of indoctrinated religion in the Christian church and how it
perpetuates racist ideology. Therefore, when her characters set forth in a journey to free
themselves from their internalized racism, they also free themselves from traditional
religious institutions. Adrianne searches for answers at university and Celie finds
simultaneous freedom and security in a pantheistic spirituality and in a liberated and
loving lesbian relationship. Both these protagonists struggle to fully escape the deeply
ingrained images of a White God, but with every step they take away from “Him” the
closer they get to self-love and a life-giving, personal spirituality. Walker explores the
intersectional nature of race and religion while also addressing gender, sexuality, and age
in these stories, exposing how they are so interconnected that one can hardly be spoken
about without tackling the others as well.
Works Cited
Angelou, Maya. I Know Why the Caged Bird Sings. Bantam Dell Publishing Group,
1997.
Dehghani, Mahdi. “Identity and Religion in Alice Walker's The Color Purple.” Journal of
Research In Gender Studies 4.2 (2014): 448. Publisher Provided Full Text Searching File.
Web. 26 Oct. 2016.
Drake, Kimberly S. Subjectivity in the American Protest Novel. Springer, 2011.
Du Bois, W. E. B., and Farah Jasmine. Griffin. The Souls of Black Folk. New York:
Barnes & Noble Classics, 2005. Print.
Hankinson, Stacie Lynn. “From Monotheism to Pantheism: Liberation from Patriarchy in
Alice Walker’s the Color Purple.” The Midwest Quarterly 38.3 (1997): 320-8. ProQuest.
Web. 1 Nov. 2016.
Lindberg-Seyersted, Brita. “Who is Nettie and What is She Doing in Alice Walker’s The
Color Purple?” American Studies in Scandinavia 24.2 (1992): 83-96.
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�Mays, Benjamin E. Born to Rebel: An Autobiography. University of Georgia Press, 2011.
Robinson, Cynthia Cole. “The Evolution of Alice Walker.” Women’s Studies 38.3
(2009): 293-311. Academic Search Premier. Web. 1 Nov. 2016.
Singh, Sonal, and Sushma Gupta. “Celie’s Emancipation In The Novel “The Color
Purple.” International Transactions in Humanities & Social Sciences 2.2 (2010): 218221. Academic Search Premier. Web. 1 Nov. 2016.
Taylor, George H. “Race, Religion and Law: The Tension Between Spirit and Its
Institutionalization.” University of Maryland Law Journal of Race, Religion, Gender and
Class 6 (2006): 51.
121
�39 Million and Counting: The Role that
Federalism Played in the HIV/AIDS Crisis
Daniel S. Smith (Public Policy & Administration)1
The Nixon administration ushered in an era of “New Federalism” by returning autonomy
to the states, while also maintaining significant levels of federal funding (Borick, 2013, p.
140). When the Reagan administration came to power they took this form of federalism
one step further. “New, New Federalism” would drastically cut back on the powers of the
federal government under the assumption that state/municipal governments would better
understand the needs of their own people (Broadnax, 1981, p. 231). Around the same
time, researchers at the Center for Disease Control and Research (CDC) were able to
pinpoint and identify the virus responsible for a string of auto-immune deficiency related
deaths that had plagued the New York City “Men-who-have-sex-with-men” population
since the late 1970s. However, with a lack of federal funding, the CDC was unable to
fund the research efforts necessary to eradicate the virus (Francis, 2012, p. 292). Through
careful analysis of scholarly sources, we will find that the Reagan administration’s
approach of “New-New Federalism” lead to the CDC’s inability to respond appropriately
to the initial AIDS outbreak.
I. Introduction
Larry Kramer is often cited as having put a face to the NYC HIV/AIDS
movement. His involvement with the “Gay Men’s Health Crisis” and “Act Out!”, along
with his multiple publications on the topic, gave visibility to a public health crisis that
was largely ignored by the local, state, and national government (Kramer, 1983). It is Mr.
Kramer’s belief that certain actions not taken by Ronald Reagan on the national level,
and Ed Koch on the local level, were responsible for the global pandemic that HIV/AIDS
was shaping up to be. Kramer’s work also poses the question of whether HIV/AIDS
would have been the global pandemic that it is today, had the federal government and the
NYC municipal government been more willing to work with executive agencies,
nonprofits, and other health organizations to support HIV/AIDS research, and stop the
spread of the virus.
1
Written under the direction of Dr. Abraham Unger for GOV211: Public Administration.
122
�At the core of the issue is the fact that the Center for Disease Control and
Research did not have the proper funding, or resources available to them for sufficient
research on the virus. This was in part due to the Reagan administration cutting a solid
portion of their funding, and the NYC Department of Health refusing to allocate any
funds towards the study of this public health threat. This cut in federal funding was a part
of Reagan’s call to downsize on the power and influence of the federal government.
“New-New Federalism” would cut down on federal government spending, by turning
what were previously the responsibilities of the federal government, over to the state
governments (Borick, 2013, p. 140). Reagan’s theory of “New-New Federalism” lead to a
lack of the funds/resources needed to fight the growing HIV/AIDS epidemic in NYC.
II. Literature Review
In finding the difference between “New-Federalism” and “New-NewFederalism”, one can rely on Christopher Borick’s Introducing Public Administration
(2013) to offer an almost entirely unbiased take on these theories, and their differences.
One could argue that Mr. Borick’s use of commentary creates a blatant bias, but more
often than not, this bias is used for the purpose of driving a point home. Borick’s
definitions of “New-Federalism” and “New-New-Federalism” serve as a solid foundation
in researching the roles that both theories played in the initial NYC HIV/AIDS scare.
Texts that explored Nixon’s theory of “New-Federalism” include Walter
Broadnax’s The New Federalism: Hazards for State and Local Government, and Timothy
Conlan’s New Federalism: Intergovernmental Reform from Nixon to Reagan (1988).
Broadnax offers us his educated opinion that not only will the states not be able to handle
the federal mandates, but also that Reagan and his administration have not put nearly
enough thought into the long term effects of this style of federalism. Rather Conlan’s
text, as short as it may be, compares and contrasts Reagan’s style of federalism with his
predecessor, Nixon. Conlan’s text was written towards the end of Reagan’s second term
and can offer facts on how both styles of federalism played out; whereas Broadnax’s text
is written only a year into Reagan’s first term as president. For these reasons, one should
use Broadnax’s text as a source for information on Nixon’s presidency, and the
immediate effects of when Reagan first came into office.
In researching the role that the federal government played in the spread of
HIV/AIDS, one can refer to Lucas Richert’s Reagan, Regulation, and the FDA: The U.S.
Food and Drug Administration’s Response to HIV/AIDS, 1980-90 (2009), and Donald
Francis’ Commentary: Deadly AIDS Policy Failure by the Highest Levels of the US
123
�Government: A Personal Look Back 30 Years Later for Lessons to Respond Better to
Future Epidemic (2012). Richert’s essay offers a purely factual timeline of events that
lead to the spread of HIV/AIDS; while Francis’ article offers the perspective of a federal
agent working for the Center for Disease Control and Research. While Richert’s work
may supplement most research done on this subject, Francis’ work offers a unique, expert
perspective that can strengthen any argument on the federal government’s lack of
interference in controlling the spread of HIV/AIDS.
Finally, both Mark Green’s The N.Y.C. Scandals of Ed Koch (1989) and Bruce
Lambert’s Koch’s record on AIDS: Fighting a Battle Without a Precedent (1989), give
insight into how Ed Koch’s passive stance on the HIV/AIDS outbreak lead to its spread.
Lambert’s article is more of a critique on the actions of the former New York City mayor,
whereas Green cites more credible sources on where he believed Koch failed.
III. Findings
In discussing the role that Reagan’s “New-New Federalism” played in the NYC
HIV/AIDS crisis, one must first have an understanding of President Nixon’s theory of
“New Federalism.” Prior to Nixon coming to power in 1972, we began to see the shift
from liberal/moderate politics, to more conservative politics. As the name implies,
Nixon’s goal was to “return autonomy to the states while maintaining significant levels
of federal funding” (Borick, 2013, p. 140). Nixon intended to turn certain responsibilities
of the federal government over to state/local governments, while maintaining the federal
funding that these state/local agencies would need to provide social services. Funds were
allocated from the federal government in block grants to be spent as local/state
governments saw fit. These provisions were known as the “Nixon Reforms”, and served
the purpose of improving coordination, efficiency, and planning when it came to
programs ranging from public health to public safety (Starkes, 1989, p. 401).
While both Reagan and Nixon called for a “War on the Welfare State”, Nixon
“...pushed for efficiency and economy of scale, while Reagan fought for the reduction of
the governmental bureaucracy, especially for those areas perceived as being in conflict
with the conservative agenda of the president” (Starkes, 1989, p. 401). Reagan’s goal was
to downsize on the power and influence that the federal government had over state/local
governments, with the theory that local governments should be responsible for carrying
out the expectations/mandates of the federal government without any federal intervention
and virtually no federal funding. Granting the states more power would in theory improve
responsiveness of the government to local issues, decrease conflict over goals and
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�objectives, and improve the level of efficiency/effectiveness of programs that are
implemented (Broadnax, 1981, p. 232).
However, both federal/local agencies were in desperate need of funding in 1979,
as a cluster of auto-immune deficiency related deaths began to appear across New York
City. A strange new disease believed to be a form of blood cancer, was taking the lives of
the homosexual/”men-who-have-sex-with-men” population in New York City, and many
feared that the the common link between these infections was a sexually transmitted virus
or bacterial infection that attacked the immune system (Lambert, 1989). Only six-months
after having settled into the White House, President Reagan and his administration would
receive an emergency brief on the severity of the still unidentified infection that lead to
AIDS (Francis, 2012, p. 291). The CDC was now putting pressure on major figureheads
in Washington to act immediately or face a potential global pandemic.
By 1983, over a thousand confirmed cases had been reported to the CDC. It was
now understood by the CDC that the disease was spread through blood product/sexual
contact, and that it did not discriminate based on sexuality (Francis, 2012, p. 291). Dr.
Donald P. Francis, an epidemiologist, was appointed by Dr. James Mason, Director of the
CDC, to become the coordinator of all AIDS Laboratory Activities. He claims that the
key to controlling a potential outbreak is an “early understanding of epidemiology of the
disease”, and “rapid applications of preventive interventions”, and that Dr. James Mason
refused to make the calls necessary for a proper response, because he was being
influenced by Washington figureheads who had no concept of how to properly respond to
a public health threat (Francis, 2012, p. 290).
According to Dr. Francis, the CDC follows a three-step process in approaching a
potential public health threat. First, a potential health threat is reported to the CDC,
followed by the director of the CDC putting together a panel of experts to formulate
possible attack plans, and finally the director of the CDC putting the experts’ plans into
action (Francis, 2012, p. 291). Thankfully, Dr. Francis was commissioned by the CDC in
1983 to put together a team to study the disease/spread of the virus, however they were
unable to get far in their research due to a lack of federal funding.
Francis and his team recognized that the disease had a 100% mortality rate, and
that there were no signs of a cure being developed anytime soon. So instead of trying to
develop a cure for HIV/AIDS, they decided to put their best efforts towards containing
the spread of the virus. They planned to consult behavioral specialists for advice on how
to educate the public and keep transmission levels low, and also looked toward the
French who were developing various drugs for patients already infected with the virus
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�(Francis, 2012, p. 295). However, on February 4th, 1985, all research was shut down to a
complete cut in funding from the CDC. As it turns out, Reagan had cut a significant
portion of the CDC’s funds, and in turn the CDC was no longer able to sponsor research
on the federal level. (Francis, 2012, p. 295) The only hope now was for further work to
be done on the state/local level.
Unfortunately, very little was being done in the city of New York, which had
become the epicenter for the HIV/AIDS crisis by the mid-eighties. Mayor Ed Koch, who
served as mayor from 1978-1989, was said to have been, “The Mayor ‘who didn’t want to
know.’” (Green, 1989, p. 483), given the fact that he was notorious for his “selective
memory”, and often tried to float above political scandals/endeavors that were against his
better interest. Not only that, but he was famously always concerned with protecting the
image of New York City at all means possible. As Jackie Mason puts it, “His opinion of
people depends on how they’re doing. If they’re doing great; he nominated them. If
they’re indicted, he never heard of them.” (Green, 1989, p. 483)
When it came to the world of gay politics, Koch wanted nothing to do with it.
Although his political ideology had been closer to the left during the early years of his
administration, he began to veer closer and closer to the right towards the end of his
career as mayor, which didn’t help given the fact that opportunistic infections related to
AIDS were becoming a major cause of death not only for the homosexual/”men-whohave-sex-with-men” community, but the New York City community in general. By 1989
AIDS had become the number three cause of death in New York City, right behind
cardiac disease, and cancer (Lambert, 1989)
Only during the latter years of the eighties did the federal government finally
begin to fund efforts to fight the HIV/AIDS crisis. In 1989, the federal government would
finally allocate $171 Million towards the CDC and state/local health departments effort in
fighting HIV/AIDS. Just prior to that in 1988, Mayor Koch would finally come up with
housing/critical care solutions for New York City residents suffering from HIV/AIDS.
(Lambert, 1989)
One cannot deny that both the Reagan administration and the Koch
administration would both eventually recognize for the need for action against
HIV/AIDS. However, Reagan’s approach of cutting down federal funding/social services
through his theory of “New-New-Federalism” lead to what is now a global pandemic
with no end in sight.
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�IV. Explanation of Findings
In comparing Nixon and Reagan’s separate takes on federalism, one can argue
that Nixon’s approach was less radical than Reagan’s. Nixon intended to turn more
responsibility over to the states, yet maintain federal funding so that state/local
governments would be able to adjust, whereas Reagan wanted to take away all block
grants/federal funding for state/local projects. Although in theory state/local governments
would know best how to meet the needs of their people, they ultimately did not have the
resources available to them to do so (Richert, 2009, p. 468).
In trying to cut down on the national deficit, Reagan overlooked how expensive
it was to provide social services. Social services come at a cost, and the Welfare State had
long provided federal funding to subsidize the costs of local services such as public
health and public safety, and many state/local agencies would not be ready to take on the
ultimate burden that would come from a sudden lack of federal funding.
When public/private health clinics began to see cases of a strange form of
“blood cancer” pop up across NYC, they began to report it to the local NYC department
of Public Health. This local agency did not have the means needed to approach this new
public health threat, and many health professionals looked towards outlets such as the
New York Times, health journals, civic leaders, etc., in order to bring more visibility to
the issue. As discussed previously, former NYC mayor Ed Koch proved unsympathetic
towards the growing health threat, and chose to avoid the issue out of fear of getting
involved in “gay politics” (Lambert, 1989).
On the federal level, it is no surprise that the Reagan administration chose not to
approach the issue for as long as they did. There are two arguments that can support as to
why the Reagan Administration waited as long as they did to intervene. A weaker
argument would be that the homosexual community had no place in Reagan’s America,
with Reagan even rumored to have once said that “those who live in sin, shall die in sin.”
(Vilanch, 2004, p. 68) However, the stronger and more reasonable argument is that the
powers that be under the Reagan administration did not understand how vital it was to
support the efforts of the CDC.
Figureheads in Washington didn’t understand that it takes a great deal of time,
capital, and other resources in order to not only cure a disease, but more importantly stop
the spread of it. Public health agencies within New York City at the time did not have the
resources they needed to better understand/prevent the spread of the HIV virus, and that
is mainly because the Center for Disease Control and Research did not have the funding
from the local government to support their efforts, making the argument rather simple:
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�Reagan’s theory of “New-New Federalism” depleted the CDC of the resources that it
would have needed in order to properly fight the spread/eradicate HIV. Had the Reagan
Administration been more willing to work with the CDC (a federal agency!), HIV/AIDS
might not have been the global pandemic that it is today.
V. Conclusion
To date, more than thirty-nine million people worldwide have died of AIDS
related diseases. The disease does not discriminate based on sexuality, gender, race, or
age, and has taken countless lives in both western nations, and developing countries.
Health care workers continue the effort to treat/cure the disease, yet most efforts to date
have proven to be futile. Had the Reagan Administration originally budgeted the funds
necessary for the CDC to attack the virus, than a cure/the eradication of the virus might
have been a reality. However, current trends show that there is no accessible cure in sight,
and strains of the virus now prove to be resistant to antiviral treatments. It goes without
saying that Reagan’s theory of “New-New Federalism” has lead to a global pandemic
that continues to ravage the whole world over.
VI. References
Borick, Christopher P. (2013) New Federalism, Introducing Public Administration, Ed.
08, 140
Broadnax, Walter D. (1981) The new federalism: hazards for state and local government.
Policy Studies Review (1) 2, 231-235
Conlan, Timothy (1988) . New Federalism: Intergovernmental Reform from Nixon to
Reagan. Policy Studies Review (9) 2, 401-403
Francis, Donald P. (2012) Commentary: Deadly AIDS policy failure by the highest levels
of the US government: A personal look back 30 years later for lessons to respond better
to future epidemic. Journal of Public Health Policy (33) 3, 290-300
Green, Mark (1989) The N.Y.C. scandals of Ed Koch. Nation (248) 12, 397-425
Kramer, Larry (1983) 1,112 and counting. New York Native (59)
128
�Lambert, Bruce (1989) Koch’s record on AIDS: fighting a battle without a precedent.
New York Times
Richert, Lucas (2009) Reagan, regulation, and the FDA: The U.S. Food and Drug
Administration’s response to HIV/AIDS, 1980-90. Canadian Journal of History (44) 3,
467-487
Starkes, Robert T. (1989) New Federalism: intergovernmental reform from Nixon to
Reagan. Policy Studies Review (89) 9, 401-403
Vilanch, Bruce (2004) Just say ‘mo. Advocate Issue 906, 68
129
�Gregor Samsa and Marx’s Alienation of Labor
Rebecca Martin (English)1
German-language novelist and short story writer, Franz Kafka, is widely
regarded as one of the most influential authors of the twentieth century. He is best known
for the way he artfully combined elements of fantasy and realism to produce works that
explore themes of guilt, anxiety, existentialism, and alienation in surreal and often bizarre
predicaments (Sokel 485). Kafka’s 1915 piece, The Metamorphosis is perhaps the best
(and most famous) example of this unique style of writing. The novella is notorious for
its odd plotline in which the protagonist, Gregor Samsa, awakens one morning to find
that he has transformed into a grotesque insect.
A subtextual reading of Gregor’s altered physical appearance reveals an internal
struggle with depression, anxiety, alienation, and societal pressures. While the piece has
been read and interpreted at length through various lenses of literary analysis, it is
remarkably difficult to find a Marxist approach to The Metamorphosis. Given the
explicitness of Gregor’s feelings of alienation and the emphasis placed on his job as a
traveling salesman, it is shocking that few literary critics have attempted to apply Karl
Marx’s piece on “Estranged Labor” to Kafka’s creepy-crawly protagonist. That is,
Marx’s theory that in a capitalist society, laborers are forced to work under such
unpleasant, demeaning conditions that they inevitably become alienated from the product
of their labor, the activity of production, their “species-being,” and finally, from other
human beings (Marx 401-405). This paper, therefore, seeks to demonstrate how Gregor
Samsa’s transformation into an insect, which renders him unable to work and ultimately
kills him, is a somatic depiction of what Marx referred to as “the alienation of labor.”
Prior to beginning this study, however, I feel that it is important to briefly
discuss the “suspension of disbelief” that accompanies a reading of this novella. That is,
as a reader, one must be willing to accept certain absurdities or impossibilities in order to
enjoy, interpret, and analyze The Metamorphosis on an academic and pedagogical level.
(Human beings, for example, cannot morph into insects.) That is not to say, however, that
this paper plainly accepts Gregor’s transition as factual and unembellished. On the
contrary, this study understands his transformation as being a shift in mental state rather
1
Written under the direction of Dr. Ann Hurley for EN425: Senior Seminar.
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�than a physical change. From this perspective, whether or not Gregor literally morphs
into an insect is irrelevant because Samsa himself believes in his altered physical
appearance. Therefore, regardless of reality, he acts and reacts to his circumstances as
though he is, indeed, a bug. Through Gregor’s delusion, his internal feelings of
estrangement and disillusion manifest physically and become his warped reality. In other
words, in hypothetically transitioning into an insect, Gregor imagines his alienation into
existence.
Marx’s Capitalist Society
In my opinion, it is worthwhile to briefly establish a context for analyzing
Gregor’s relationship with his job as a traveling salesman by highlighting parallels
between the capitalist society that Marx describes and the capitalist society in which
Gregor Samsa lives. In doing so, I aim to provide a basis of comparison between the two
and demonstrate how the text is subliminally rich with Marxist concepts, thereby making
it a fantastic source for Marxist analysis.
In his 1844 publication, The Alienation of Labor, Karl Marx offers a critique of
the capitalist society in which he lives and describes how capitalism serves as a catalyst
for what he calls “the alienation of labor.” According to Marx, this alienation occurs as a
result of a social hierarchy within the capitalist system, where those at the top of the
hierarchy (the bourgeoisie) control the capitalist system, while those at the bottom (the
proletariats, or laborers) are slaves to the system (401). Under capitalism, he claims,
laborers lose the ability to be in charge of their own destiny and once this dissociation
occurs, workers invariably become alienated from their labor (401- 405).
In Kafka’s piece, Gregor is a member of the proletariat class, while his boss (the
office manager) is representative of the bourgeoisie. Gregor articulates this relationship
when he states that his boss “sit[s] up at [his] desk and talk[s] down to [his] employee[s]
from way up there” (Kafka 5). The office manager’s elevated position conveys a sense of
authority over Gregor and his fellow laborers in the same way that a king’s throne in a
Shakespearean tragedy would likely be the highest point on the stage. Further, Gregor’s
office manager is harsh, unsympathetic, and solely concerned with production, as is the
role of the capitalist in Marx’s theory (Sutherland 121).
An additional feature of capitalism that Marx identifies is the “consent,” or
voluntary acquiescence of the laborer’s own subordination (Sutherland 123). While this
acceptance must initially be coerced by the capitalist (the bourgeoisie), over time,
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�workers become compelled by social conditions to “sell the whole of [their] active life,”
thereby self-imposing their own subservience (Sutherland 123).
A close examination of Gregor Samsa’s everyday activities reveals that he is no
exception to this rule. Although he complains about his job and fantasizes about quitting,
Samsa’s tyrannical office manager has had such an effect on his mental state that he
becomes obsessed with his job – Gregor’s career as a traveling salesman wholly
consumes his life.
Consider, for instance, that Gregor has never missed a day of work in the five
years he has been a traveling salesman and “has nothing in his head except business”
(Kafka 6, 12). Further, reflect on the fact that Gregor’s only concern upon waking up to
find that he has transformed into an insect is arriving to work on time. In reviewing all of
the details that define and shape Gregor’s life, it becomes clear that he is living in the
capitalist society that Marx describes. Samsa’s boss (the bourgeoisie) is in control of the
employees (the proletariats), and Gregor has bought into his inferiority. The haughty,
capitalist office manager has conditioned him into only caring about his career and Samsa
therefore becomes compliant with the restrictions and expectations imposed on the
proletariat class by the bourgeoisie. These Marxist notions serve as an impetus for
Gregor’s alienation and elucidate the argument in favor of the application of the
alienation of labor to Kafka’s protagonist.
Alienation from the Product of Their Labor
For Marx, a worker’s estrangement from the product of his labor is the first
major form of alienation. Under this model, when a worker devotes a great deal of effort
to the object that he is creating, he becomes invested in the product. The laborer may
even identify with the product as an extension of himself (401). Under the capitalist
system, however, nothing that the laborer produces is his own. This, in turn, creates a
distance between the laborer and his product. Because the worker no longer relates to the
fruits of his labor in any significant way, he subsequently views the product as alien to
himself (401). Everything that the laborer creates contributes to a world that he does not
take part in. Marx claims that the more he produces, the more alienated the laborer is
from his product.
Applying this theory to The Metamorphosis, we see that Gregor is precisely
Marx’s alienated laborer. That is, Gregor is primarily unconcerned with anything that
does not relate to his job. As his mother affirms, even in his free time, he studies travel
schedules or reads the newspaper – he does not dawdle about or spend his weekends
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�hitting the town with his friends (Kafka 12). For Gregor, his career is of the utmost
importance, regardless of how much he dislikes it, because his despotic boss leaves him
with few other options. (The office manager literally comes to Gregor’s house when he
sees that he is late for work and demands to know what is holding him up). In other
words, Gregor’s profession is an extension of himself – Gregor Samsa is a traveling
salesman. It is what defines him.
Furthermore, Gregor’s job requires that he move from one location to another,
trying to sell various items to potential customers. Accordingly, Samsa must be warm,
persuasive, and convincing in order to perform well in his career. In this way, the product
of Samsa’s labor is a successful transaction in which he effectively convinces someone to
purchase what he is marketing. Gregor’s transformation, however, reveals that he has
become alienated from the fruits of his labor. That is, his physical change hinders his
ability to communicate with his family and his office manager and therefore renders him
unable to sell them the falsity that all is okay behind the locked door of his room (Kafka
16). While Gregor can hear himself clearly when he attempts to reassure the crowd
outside of his bedroom door that he will be on his way to work shortly, all they hear is
chirping (Kafka 16). So, despite how hard he tries to annunciate his words and reinstate a
sense of calm in his household, his efforts are in vain. Gregor’s insect qualities (his
mouth, voice) inhibit is vocal capabilities and therefore demonstrate how his transition
alienates him from the product of his labor (the ability to convince others with his words),
which is a defining characteristic of himself. Without the product of his labor, Gregor is
nothing. Hence, Gregor’s transition and subsequent inability to communicate
demonstrates that he has become alienated not only from the fruits of his labor, but also
from himself, as Gregor’s labor is an extension of himself.
Alienation from the Activity of Production
The second form of alienation that Marx discusses is the alienation of the
laborer from the activity of production. He theorizes that if the product of laboring is
alien to the worker, then, by the same logic, the activity of production itself must be a
form of “active alienation” (402). According to Marx, this estrangement is characterized
by lack of voluntary labor. He argues that since the laborer is engaging in work that is not
necessarily chosen by free will, the work is essentially forced labor (403). In other words,
even if the laborer produces an object that he has favorable feelings toward, if not for
capitalism, he would not produce this item for monetary gain. Therefore, the capitalist
society coerces the laborer to exploit his efforts and take part in alienated labor (403).
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�Just as the fruits of a laborer’s work can appear as alien, so too can the creation of this
product.
As discussed earlier, this is clearly the case for Gregor Samsa. From the very
beginning of the novella, he places a great deal of emphasis on the stressors of his job,
how much he dislikes it, and even spends time daydreaming about how great it would
feel to quit (Kafka 5). Gregor labors tirelessly for his boss, working under miserable
conditions – “worries about train connections, bad food, constantly changing human
relationships that never come from the heart,” – all to be treated inhumanely (Kafka 5).
Even more vital to this argument, however, is the fact that Gregor is working to pay off
his family’s debt to his office manager. So, not only does Samsa have an overly-intense
boss and a job that he hates, but he must also commit at least another five or six years to
being a traveling salesman in order to rectify his father’s monetary troubles (Kafka 5).
Hence, Gregor’s labor is certainly forced, if not by his office manager, then definitely by
his family’s financial struggles.
Taking this idea one step further, one could even theorize that within the two
spheres of the capitalist society in which Gregor and his family live, Samsa’s home life is
divided even further into an additional bi-furcated social hierarchy. That is, Gregor’s
parents are part of what I will call the “at-home bourgeoisie,” while Gregor is, again,
relegated to the working class. In this sense, Gregor’s labor is coerced on a minor level
by the financial perils of the “at-home bourgeoisie,” and then again at a universal level by
his office manager. This double-layered pressure from his parents and his boss clearly
show that Samsa’s labor is not an act on his own volition, but is instead affected by
external forces. Thus, the activity of production of Gregor’s labor is exploited by the twofold bourgeoisie and is therefore alien to him. His disdain for his job and incessant desire
to quit proves that he is working solely because it is what is required of him, not because
he has a burning passion to travel from place to place, pushing items on people.
Moreover, even if Gregor did have a deep love for his job, Marx tells us that he would
still be an alienated laborer, because if not for capitalism, the worker would not be
laboring for monetary gain.
Gregor’s transition into a bug, then, brings these feelings of estrangement into
fruition. That is, his alienation from the act of production as a result of coerced labor
manifests as an insect and therefore makes him unable to produce, or to even leave his
house. Instead, he is bound to his room, where it is impossible to effectively perform his
tasks as a traveling salesman.
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�Alienation from the “Species-Being” and from Other Human Beings
I have chosen to combine the remaining two forms of alienation into one
succinct section because Gregor’s transition simultaneously causes alienation from the
“species-being” as well as from other human beings. Hence, there is a great deal of
overlap between the two.
Marx describes the alienation from nature and the “species-being,” or, human
identity as being the result of the lack of relationship between the laborer and the product
of his labor and coerced labor (403). He holds that an individual is defined by his or her
ability to turn nature into objects through “practical activity,” or labor (403). Thus, for
humans, work offers a meaning to life. According to Marx, however, because neither the
object of production nor the activity of production sufficiently express the laborer’s
species-being, the capitalist society also causes the alienation of the worker from his
human identity (404).
Further, Marx asserts that because workers are alienated from the product of
their labor, from their activity of their production, and from their species-being, laborers
are also estranged from other humans. In other words, the relationship among workers
mimics the relationship they have with their labor, the product of their labor and
themselves – they lack the ability to relate to one another as a consequence of capitalism
(Marx 404).
Gregor Samsa’s transformation into an insect presents self-alienation in a literal
way. That is, one morning, out of the blue, Gregor can no longer recognize himself. He
goes to sleep in his human form, and awakens fundamentally estranged from his own
identity (Sokel 485). To put it concisely, “no manner more drastic could illustrate the
alienation of a consciousness from its own being than Gregor Samsa’s started and
startling awakening” (Sokel 85). It is this concept that typifies how Gregor is alienated
from both his species-being and from other human beings. Samsa’s altered physical
appearance demonstrates on a visual level how he is disconnected from his own essence
as well as from the human race. He is not himself (the traveling salesman) and he is not a
human. Instead, Gregor is a specimen of vermin – a physical form that is alien to his
regular, human body, and a species that is largely feared and disliked by humans.
Further, Gregor’s transition causes him to act in a way that is dissociated from
human norms. For instance, the longer he remains in his insect-form, the more
uncomfortable he feels in open spaces and subsequently seeks refuge in the darkness
under furniture, as is characteristic of bugs (Kafka 30). He also grows apathetic to fresh
food, and instead prefers rotten vegetables, moldy bread, and things of the like (31). In a
135
�somewhat humorous turn of events, Gregor, in one scene, happily eats cheese that he had
declared completely inedible two days prior when he was still in his human form (31).
This change in pallet demonstrates how Gregor has become estranged from both his
species-being, or his human essence, and other human beings, as people cannot consume
outdated food without the risk of becoming ill.
The disgust of Gregor’s family and office manager at the sight of him also
speaks to the notion that Gregor’s transition alienates him from others. If Gregor’s own
family is apprehensive in his presence, chases him back into his room with a broom, and
throws apples at him, the outside world is certainly not going to welcome insect-Gregor
with open arms. Hence, Gregor’s metamorphosis renders him unlike his human self (his
species-being) and, consequently, unlike other human beings. His new insect-state makes
him not only physically different from the human race, but it also makes him unable to
conduct himself in a way that is in accordance with the “normal” habits of the human
species.
In this way, Gregor’s metamorphosis subjects him to alienation from the product
of his labor, the activity of production, his species-being, and from other human beings.
The conditions for the alienated laborer, as characterized by Karl Marx, are present in
Gregor’s capitalist society, and therefore provide a basis for his estrangement. In
transforming into an insect (mentally or physically), Kafka’s protagonist turns his
feelings of alienation that are evoked by his miserable working conditions into his reality.
Gregor’s insect-form inhibits his ability to effectively communicate with other human
beings, thereby alienating him from the product of his labor. That is, his ability to
perform and sell people with his words. Further, Samsa’s transition brings into fruition
his feelings of alienation from the act of production as a result of double-layered coerced
labor, and estranges him from his species-being, as well as from other human beings.
Thus, Gregor Samsa’s metamorphosis is an excellent somatic depiction of Karl Marx’s
theory of the alienation of labor.
Works Cited
Kafka, Franz. The Metamorphosis. Translated by Malaspina University-College
Nanaimo, BC, PlanetEBook, 1999.
Marx, Karl. “The Alienation of Labor from Economic and Philosophic Manuscripts of
1844.” Theory Course Reader, edited by Alison Arant, 2015, pp. 400-405.
136
�Sokel, Walter H. “From Marx to Myth: The Structure and Function of Self-Alienation in
Kafka’s Metamorphosis.” Literary Review: An International Journal of Contemporary
Writing, vol. 26, no. 4, 1983, pp. 485-495. MLA International Bibliography. Accessed on
24 Mar. 2017.
Sutherland, Kate. “Marx and McKinnon: The Promise and Perils of Marxism
for Feminist Legal Theory,” Science & Society, vol. 69, no.1, Jan. 2005, pp. 113132. MLA International Bibliography. Accessed on 23 Mar. 2017.
137
�Why Adults are Allowed to Say Children
Are Best Kept Out of Sight and Out of Mind:
A Study on Adult Focused Therapy for Survivors
of Domestic Violence and Human Trafficking
Kelly Glenn (Sociology)1
This paper examines the therapeutic effects of adult focused therapy for
survivors of domestic violence and human trafficking. Survivors are operationally
defined as adults who have fled the environment of violence and are already engaged in
the process of emotional and psychological rehabilitation. The research examines how
adult focus therapy which includes the separation of children from parents or other adult
survivors affects the recovery process for adults. The data for this study come from
participant observation, participant evaluations, and volunteer feedback from Here There
and Everywhere, an art therapy nonprofit working with survivors of domestic violence
and human trafficking. The focus group is held at The Family Justice Center, a social
service center in New York, New York. The main findings of this research are parents
benefit from having time away from their children because they require independent
opportunities to focus on goals for present and future. The parent child relations improve
with separation because time together becomes more valuable. In addition, domestic
violence and human trafficking survivors empower each other by creating a support
network to reduce likelihood of returning to violent situations.
I. Introduction: Reclaiming Adult Survivor Empowerment in Therapy
This study is concerned with survivors of human trafficking and domestic
violence. These survivors are grouped together as participants because the after effects of
trauma are similar and therefore treatment from an art therapy approach yields similar
results. The most cited definition of human trafficking is the World Health
Organization’s (2012) definition:
The recruitment, transportation, transfer, harboring or receipt of persons, by
means of the threat or use of force or other forms of coercion, of abduction, of
1 Written under the direction of Dr. Bernadette Ludwig in partial fulfillment of the Senior
Program requirements.
138
�fraud, of deception, of the abuse of power or of a position of vulnerability or of
the giving or receiving of payments or benefits to achieve the consent of a
person having control over another person, for the purpose of exploitation (p. 4).
The United States Department of Justice (2016) defines domestic violence as a
continuous pattern of abusive physical, sexual, emotional behavior, economic, or
psychological actions. Violence is defined to include threats of actions in any domestic
intimate relationship that is used by one partner to gain power and control over the other
partner. There has been limited research about adult focused therapy for survivors of
domestic violence and human trafficking, which most likely has also contributed to these
programs not being adequately funded. However, examining the success of adult focused
therapy for survivors is important to better understand adult rehabilitation and the mental
effects of leaving environments of domestic violence and/or human trafficking. This
study evaluates how survivor empowerment is achieved in a therapeutic practice where
parents arrive with their children but then children and adults are separated into two
separate groups. The data show that with separation both adults and children receive
quality rehabilitation. Adults receive enhanced benefits from art therapy with increased
healing effects when they have a designated time to focus on themselves. Without having
the responsibility for their children or the children of other survivors, adults are able to
focus on their personal needs and with deeper reflection can identify goals while knowing
their children are safe.
At Here There and Everywhere’s art therapy program a recent group of
participants living in New York City shelters after fleeing situations of violence
expressed that they would prefer to be separate from their children while working on
developing personal skills. The participants argued they would be more successful if they
could focus on their personal goals without having to watch their children imultaneously.
The feedback prompted the central research question of this study and this paper will
analyze the validity and success of separation for adult focused therapy.
Verifying the efficiency of art therapy with an adult focus can support separated
social services for adult survivors of domestic violence and human trafficking. Because
survivor therapy is typically structured to be centered on the children, promoting parent
and child separation based on findings may reduce the likelihood of combining both age
groups, a measure that may be enacted for budget reasons.
The political climate of 2017 has brought services for domestic violence
survivors to almost a standstill. During the process of this research, funding for therapy
was cut by the New York City Mayor’s office because of presidential threats to sanctuary
139
�cities. At the time of the study (May 2017), the 45th U.S. President has executive plans to
cut budgeting from the Department of Justice which would specifically eliminate the
government grant programs created under the Violence Against Women Act of 1994 and
subsequent legislation. This program was designed to develop the nation’s capacity to
reduce domestic violence and similar offenses by strengthening services it currently
oversees 25 grant programs that support survivors of domestic violence. This threat
affects many different grant programs. The consequences of defunding programs that
support survivors would be detrimental to adults who are psychologically affected by
trauma and would disproportionately affect low-income single parents, (undocumented)
immigrants, and/or survivors who are often estranged from their family as support
networks.
II. Literature Review
Findings from studies investigating the effects of domestic violence and human
trafficking on women in group therapy support the idea of practicing adult-focused
therapy so the parent survivors can counteract the negative effects of violence (Dodd,
2009; Johnson, 2013; Rankin & Taucher, 2003; Swanston et al., 2014). In absence of
focused counseling, many victims continue to live with the negative mental instability
and inability to cope after negative effects of trauma events (Johnson, 2012 and Swanston
et al., 2014). Having a space designated to parent survivors2 allows facilitation of
relationships with other mothers and provides social networks for adults in similar
circumstances (Dodd, 2009). For parents one of the most therapeutic element of therapy
is connecting with others to discover that they are not alone in recovery. Individual
behavior and parenting skills improve because adult therapy increases confidence and
self-esteem and promotes opportunities to discuss life concerns (Dodd, 2009). To build
connections survivors must evaluate where they currently are emotionally and where they
have been both psychologically and physically. Reevaluating the self is easier to
accomplish when support is centered for a group of similar experience and identity
(Johnson, 2012). Survivors gain control over improving the quality of their lives and can
do so by labelling symptoms and practicing self-management techniques to stabilize daily
life (Rankin & Taucher, 2003).
The term parents refers to parent survivors, which only focuses on mothers who
participated in workshops
2
140
�In therapy, adult focused discussions or art prompts3 are used which allow
confronting trauma to reshape self-perspectives (Kapitan, 2011; Rankin & Taucher,
2003). Trauma sensitive care is informed care that acknowledges the presence of
complex devastation through telling a narrative. Parents can easily recognize and discuss
trauma in the absence of children (Dodd, 2009; Johnson, 2012; Rankin & Taucher, 2003;
Swanston et al., 2014). In groups with children present and listening both groups face
difficulties remaining present during emotionally intense situations. Children witness
their parents’ distress during and following acts of violence then do not know how to
cope (Swanston et al., 2014). Parents experience the discussion of trauma as being forced
to continue to acknowledge that their children live or have lived in an environment
controlled by threat and fear. This continuation of stress can strain the parent child
relationship and make rehabilitating together painful for the parent because it creates a
sense of being unable to escape the effects of violence (Johnson, 2012; Swanston et al.,
2014). Scholars (Dodd, 2009; Johnson, 2012) have found that time away from the child,
for at least a major portion of the therapy session, makes this experience de-stressing
rather than distressing.
Parents can develop attachment issues with their children by becoming
dependent on parent-child relationships as a replacement for dependency on a partner
(Moulding, 2015). Having adult focused therapy separate from the children encourages
women to become dependent on themselves and ultimately fosters healthy parent-child
relationships. This is important because survivors of domestic violence and/or human
trafficking have more parenting difficulties than those who were not victimized (Keeshin
et al., 2015). Even after leaving the environment of violence, without professional
support, parents often feel unequipped to deal with distress (Swanston et al., 2014).
Victim blaming is a common problem in parent child relations following trauma. As a
method for protection of the self and the child, parents sometimes remain silent about
violence. Perceiving this as a lack of closure from the parent as a sign of weakness,
children may blame the victimized parent (Moulding et al., 2015). In an adult setting
which allows parents to discuss their experiences and feelings with others who share
these, adults are more likely to achieve closure and move forward. This may enable the
parent to discuss trauma more openly or to help the child achieve closure. Parents with
existing trauma are still able to be emotionally available to their children when there
Art prompts are instructions to guide the beginning of a project with freedom of
interpretation.
3
141
�exists adequate professional support. Adult focused therapy that promotes wellbeing
through sustainable self-care, such as art therapy, provides a focus on healing skills so
that adults are equipped to handle high stress from children (Kapitan, 2011). If parents
are able to decrease the intensity and frequency of negative aftereffects to improve daily
functioning and increase positive life experiences through therapy, they can rehabilitate
parent-child relationships (Mauri & Klein, 2007; Rankin & Taucher, 2003).
Adult focused therapy fosters the development of support networks with
facilitators who offer professional guidance or rehabilitation services and fellow
participants who create a safety net by discouraging the return to a violent environment
(Dodd, 2009; Rankin & Taucher, 2003). Finally, the separation from children protects
survivors from being reminded of the lasting effects trauma has on their children because
they do not witness outbursts or behavior that mimics the perpetrator (Rankin & Taucher,
2003).
III. Data and Method
Data for this research project come from Here There and Everywhere art therapy
workshops. These workshops are for survivors of domestic violence and/or human
trafficking. The status of which violence the participants were victims of remained
confidential and this information was only shared with their case workers. Most of the
adult participants were women. Approximately half of all women were mothers who
brought their children to the art therapy sessions. Participants attended weekly three-hour
long workshops. Each session began with an opening exercise, either stretching, a
physical warm up, or an emotional check in. Then participants transitioned into the
week’s predetermined art project. Each week concluded with a share out where
participants had the option to show what they made and discuss it.
Data for this study consist of a) feedback forms from participants, b) volunteer
evaluations, c) participant observation, and d) an in-depth interview with the founder and
CEO of Here There and Everywhere.
a) Participant feedback was completed with open-ended evaluations at the end
of the cycle. As several participants are immigrants with low level English skills,
evaluations were distributed in English, Spanish, Mandarin, and Arabic. One participant
received help from a volunteer with her writing. Evaluations completed in languages
other than English were then translated by volunteers who were recruited to Here There
and Everywhere based on their language skills. Responses were then read to determine
the effectiveness of Here There and Everywhere cycles and measure the growth of
142
�survivors considering their feeling of empowerment. For this study evaluations from
2014, 2015, and 2016 were used.
b) Volunteer evaluations collected information in the form of guided prompts,
which included information on group atmosphere, bonding and connections made, mutual
aid among group members, new problems, staff response to issues, accomplished growth,
analysis, and areas of improvement. For this study evaluations from 2014, 2015, and
2016 were analyzed.
c) Participant observation: From January until May 2017, I was an intern for
Here There and Everywhere. I participated in a number of different tasks. For example, I
was a facilitator for adult workshops and children’s workshops. I provided aid by
distributing supplies, guiding creativity with step by step directions or artistic prompts,
and being a source of verbal support. With the adults, my primary function was to guide
them in communicating an idea or emotion through art. As a child care volunteer, I
facilitated the children’s wellbeing by monitoring behavior and reducing acts of verbal or
physical aggression. It was my responsibility to make sure the children did not invade the
adult workshops. Hands on participation in both workshops allowed me to observe the
various adult interactions and parent-child relationships.
d) In an interview with the co-founder and President of Here There and
Everywhere, Tanya Gupta, I asked follow-up questions about how the parent-child
relationships noticeably changed over the twelve-week therapy cycle and what strategies
participants use to empower themselves. The interview was recorded and all responses
were transcribed verbatim and analyzed.
IV. Findings
A Need for Separation
At one of the of Here There and Everywhere’s art therapy workshops in
February 2017, there were 22 women, five of whom brought a total of fourteen children.
The women were in a large conference room, which was pre-arranged to look more like
an art studio. The children were down the hall in a smaller conference room out of their
mothers’ sight. Within the first half hour of the three-hour workshop a child opened the
door and ran to his mother. A childcare volunteer attempted to prevent the child from
going into the adult workshop and cause a disruption but the mother could witness her
distressed child through the open the conference room blinds and felt she needed to
respond. This took the mother away from the project she was working on and broke her
143
�away from the group. After the first child ran out of the designated children’s area, the
youngest child followed. Her mother and a returning survivor, Ms. Lee4, came out and
calmly sent her back to the childcare room by saying, “Mommy needs this time, you can
go play with the big kids.” The older children were less inclined to run to their mothers
because there were activities for them to do and snacks for them to eat in the smaller
conference room.
In previous group sessions when children were physically with the mothers,
sessions were reported to be more intense and difficult to handle. Although the children
were engaged in the beginning, before the three-hour session ended it became more of a
daycare program for the younger ones. Mothers were restricted by childcare and each had
to focus on the child’s needs rather than her own. Without feeling an obligation to center
attention on the child, adults could devote energy to the therapeutic project and relax.
They had more time to begin planning projects and executing their goal for the
designated time. Here There and Everywhere co-founder, Tanya Gupta, stated:
It’s more of just needing space to think about what they’re doing right now. I
think it’s very healthy and important. Especially the parents of the younger
parents because they are doing so much for the child and spending even more
time with them.
The mothers in the Here There and Everywhere workshops value time with their children,
but understand that they benefit psychologically and professionally from devoting time to
themselves and developing vocational skills. Because the children heard or witnessed
violence first hand it was common for children to exhibit behaviors that reminded the
survivor of traumatic experiences. They have not or are still learning how to cope
following acts of violence. Mothers expressed that when a child used language
recognizably similar to their perpetrator or inflicted violence on other children, they were
reminded that their children live or lived in an environment controlled by threat and fear
that was unbearable. Mothers were hyper aware of the foul language, pushing, and
choking which can be seen in numerous weekly evaluations.
Children are one of the biggest motivators for a parent to leave an abusive or
dangerous situation. The mothers felt secure when they knew where the children were but
in the evaluation section which asks if anything about the workshops can be improved
several mothers requested to be separated into a group exclusively for adults. In her
evaluation Ms. Ashoke wrote, “If there is anywhere that the workshops can improve, I
4
All participants’ names are pseudonyms.
144
�think the children should be separated from the parents whenever possible.” Another
participant, Ms. Sasha echoed this:
It would be good to have a space where we can work without the children. I
think we should not be in the same room and sometimes it is hard to work when
we can still hear them. Especially if we hear them cry.
The mothers exhibited sentiments of not wanting to exclude the children completely
because they want to know where the children are at all times. With this precaution in
mind, they still communicate a desire to have separation. When groups were divided so
that adults were in a space designated for them the group was more receptive to projects
and displayed greater enjoyment while working together. It was apparent that everyone
was engaged and excited because each participant was eager to work on the week’s
project as a group. No individual asked to do a different project or work separately from
the group when the program was designed to have participants working on the same
projects simultaneously.
Parent-Child Relationships
When the adults were able to spend time away from the children the time which
was spent together becomes more valuable. Children were excited to talk about what they
did during the time apart. Parents were excited to see how well they did and because they
felt refreshed, they were ready to exert energy with the children. The adult group and the
child group convened together at the end of the workshop to share through showing and
telling what each participant created that day. Appreciation for time spent together was
evident from the way parents and children communicated with each other following the
art project. A volunteer described the mothers being excited to share and see what their
children made while apart:
Having that space away from the parent makes them appreciate time
with the parent even more. And from the parent’s point of view I think
two or three hours after they are excited to see the kid. And the child is
excited to show what they made to the parent. And there is another
level of communication where they can each share with one another.
You hear a lot of, “Oh look mommy, look at what I made today.”
For the children, to see their mothers in a situation where they took control of a project
enhanced the child’s perception of the adult as powerful. Some children blamed the
parent for not assuming responsibility early enough in the former dangerous environment
145
�and they, as well as the parents, question their ability to protect. By witnessing the
parents’ strength and abilities, the perception as a protector increases. Observation during
workshops revealed that expressing love and appreciation are reassuring strategies
parents use to demonstrate protectiveness. This is apparent from the reactions parents
gave their children and could be seen when the parent shared a project with the child
(Moulding et al., 2015).
Individualized attention and moments of private time to reflect allowed parents
to restore emotional well-being. While in the violent environment, parents were
emotionally drained and children often report having felt emotionally neglected
(Moulding et al., 2015). The child is then more likely to have outbursts in search of
attention or as a result of neglect. When these tantrums or outbursts occur without the
parent being present, the emotional strain already being experienced is not further
worsened. Through the separate therapy sessions, young participants were able to
develop communication skills under guidance of childcare volunteers. Children did not
have much interaction with others outside of the household because the environment is
controlled by the perpetrator. And so this is often the first time that they are out of their
socially restricted environments and engage with children of different ages, which is
healthy for rehabilitating (Moulding, 2015).
The improvement in the children’s behavior deferred them from acting out like
the perpetrator and forced the adults to acknowledge previous trauma. As a possible
outcome of separation combined with consistent individualized attention during
therapeutic workshops, the parents and children can then get along with less conflict.
Individual Empowerment
Empowerment is a foundation of recovery for survivors. The term
empowerment is used in this context to mean the power that develops and is gained.
From this perspective individuals gain more control over their lives than previously held,
either independently or with the help of others, such as volunteers, caseworkers, or
supportive friends. Empowerment is both a process and an outcome of effort to obtain a
relative degree of ability and influence (Staples, 1990).
In adult focused groups, participants received individualized attention from
facilitators. The facilitators dedicated time to working closely with the survivor while
helping to ensure the success of their project positively enforces the idea that the
survivors are deserving of encouraging partners. This also affirms that healthy resources
exist in relationships where one is providing support rather than seeking power.
146
�Facilitators do not exercise power over the survivors and act with equal capabilities. The
barriers of status and authority typically established between workshop leaders and
participants are not present at Here There and Everywhere. The facilitator-participant
dynamic uses inclusive involvement and therefore empowers both groups. This also
provided opportunities to discuss life concerns without stress of repercussions. Promoting
well-being by fostering partnerships to acquire vocational and emotional skills gave
participants life skills to create nurturing environments for themselves. By knowing their
value, survivors are more likely to discover one’s own capabilities and are less likely to
return to an oppressive environment (Cantos, 2014).
The cooperation level among adults engaged in the workshops increased as well.
The art therapy space offered a non-threatening environment where adults could share
ideas about coping. The recovery process combined with parenting can be a lonely
responsibility, especially because the majority are single parents or adults not living with
other family members. Conversations without forced prompts allowed survivors to
discover that although they experience anxiety concerning family or individual struggles,
they are not alone in this plight (Dodd, 2009). This also makes it easy to share ideas for
projects. Participants often noticed if another was having difficulty with a project and
offered guidance. By helping one another complete projects the participants validated
their own skills to feel self-empowered and exercise leadership. This is exemplified by
Ms. Zara’s reflection:
I enjoyed the learning new things and taking knowledge. I also like to
attend the Here There and Everywhere workshops because it is a team
work and everybody has different ideas, knowledge. And I enjoyed
most interacting with others [mothers/survivors].
The central focus of the program is empowerment because both domestic
violence and human trafficking rely on disempowering individuals who subsequently feel
worthless. Particularly in cases of human trafficking, the survivor was treated as a
commodity whose value is determined by the perpetrator. Their value is further decreased
by exchange for little or no compensation for forced demeaning work (Brooks, 2013).
Domestic violence survivors also had their value undermined by the violent treatment
they had to endure in the past. Perpetrators prey on vulnerability and victims are only
able to view their worth in the capacity established by the offender. In the art therapy
workshops survivors created products then had the option to sell what they made using an
online store and keep the total profit. Transitioning from being treated as someone else’s
147
�product to creating artistic products and determining their value puts the survivor in a
position of power. Once they make a profit of their product, their productivity transforms
a creator-consumer paradigm from an abuser-master paradigm (Brooks, 2013). That
power becomes a platform to continue building on that foundation. The workshop
structure gives participants the opportunity to make decisions for themselves and relax
from the stress induced by the after effects of trauma.
V. Conclusion
There is mounting evidence that supports adult focused therapy for successful
rehabilitation through empowerment (Johnson, 2012). Although mothers in this study
discussed wanting to spend time with their children and knowing they are safe they also
valued time dedicated to themselves. Observation and evaluations reveal that parent-child
relationships in fact improve when there is temporary separation because they are excited
to share what they accomplished and adults feel refreshed after focused therapeutic
practices. Empowerment is best achieved when adults can focus on their own personal
needs and goals. This is possible when parents are part of therapeutic group work with
other adult survivors because with an understanding of similar experiences and
responsibilities, they form relationships which create a supportive environment that
ultimately deters survivors from returning to a violent situation. In addition, survivors are
able to build healthy relationships with each other, something they could only do after
leaving an environment that restricted their interactions. They also gain the liberty to
execute a short-term goal for the workshop, and are then able to plan long term goals for
personal or vocational growth.
This study, although local to New York and small scale, shows that survivors of
domestic violence and human trafficking are empowered during adult focused therapy
where they are able to create a finished product with the option of marketing it for
financial support. One obvious omission was the lack of any male participants (including
fathers). Future research should consider the impact of this on overall results.
VI. References
Alter-Muri, S. & Klein, L. (2007). Dissolving the boundaries: Postmodern art and art
therapy. Art Therapy Journal of the American Art Therapy Association, 24(4), 82-86.
Cantos, A. (2014). One size does not fit all in treatment of intimate partner violence.
Partner Abuse, 5(2), 204-236.
148
�Johnson, B. (2012). Aftercare for survivors of human trafficking. Social Work and
Christianity, 3(4), 370-389.
Kapitan, L. (2011). Power, reflexivity, and the need to complicate art therapy research.
Art Therapy: Journal of the American Art Therapy Association, 27(3), 1-5.
Keeshin, B., et al. (2015). A domestic violence shelter parent training program for
mothers with young children. Journal of Family Violence, 30(4), 40-47.
Moulding, N., et al. (2015). Untangling self-blame and mother-blame in women’s and
children’s perspectives on maternal protectiveness in domestic violence: Implications for
practice. Child Abuse Review, 24(4) 249-260.
New York State Coalition Against Domestic Violence. (2004). Getting help from the
department of social services. In Domestic Violence Handbook, 6, (20-27) Retrieved from
http://www.opdv.ny.gov/help/fss/fss.pdf
Rankin, A. & Taucher, L. (2003). A task-oriented approach to art therapy in trauma
treatment. Art Therapy: A Journal of the American Art Therapy Association, 20(3) 138147.
Swanston, J., et al. (2014). Towards a richer understanding of school-age children’s
experiences of domestic violence: The voices of children and their mothers. Child
Psychology and Psychiatry, 19,(2), 184-201.
United States Department of Justice (2016). Reflections from the field on victim/survivor
advocacy (2). Retrieved from https://www.justice.gov/ovw/page/file/936746/download
World Health Organization. (2013). Global and regional estimates against women:
Prevalence and health effects on intimate partner violence and non-partner sexual
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9789241564625_eng.pdf
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Volume 16, Number 1
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Section I: Eastern Colleges Science Conference -- Abstracts --3 The Effect of Listeria Monocytogenes on Amyloid Plaque Build Up and Neurofibrillary Tangle Formation in the Brains of Adult Zebrafish (Danio rerio) / Monica Cipriani -- 3 Traumatic Brain Injury as a Disorder of the Connectome / Merrysha Castillo, Dr. Nikolaos Ziogas, Dr. Vassilis E. Koliatsos -- 4 Fluoride in Groundwater in South Eastern Bangladesh / Regina Ismaili, Prof. Sarah Alauddin and Dr. Mohammad Alauddin -- 4 Grafting Organic Molecules to Metal Surfaces through the Reduction of Aryl Diazonium Salts / Helema Tayeh, Anna Cios and Dr. Racquel C. DeCicco -- 5 In Vitro Antibacterial Activity of Essential Oils on Escherichia coli, Pseudomonas aeruginosa, and Staphylococcus aureus / Alexis Dispensa -- 5 Computational Investigation of the Pyrolysis of Polyethylene / Lejla Bolevic and Domenick Palmieri -- 6 Detection of a MET Transcript in the Flatworm Girardia dorotocephala / Theresa Mustacchio and Dr. Jonathan Blaize -- 6 Characterizing the Role of O-GlcNAcylation in Cardiomyopathy: Constructing a Transgenic Mouse Model / Anthony Tucker-Bartley, Dr. Olurotimi Mesubi, Dr. Mark Anderson -- 7 The Behavioral Effects of Caffeine on Zebrafish (Danio rerio) / Michelle DeTomaso -- 7 Gallyas Staining Method Used to Detect the Presence of Neurofibrillary Tangles and Beta Amyloid Plaques After Traumatic Brain Injury in Adult Zebrafish (Danio rerio) / Nicole Bell and Dr. Christopher Corbo -- Section II: The Natural Sciences -- Full Length Papers -- 11 The Effect of Oscillating Electromagnetic Fields on the Microorganism Staphylococcus aureus / Shannon Cedeno -- Section III: The Social Sciences -- Full Length Papers -- 39 The Prevalence of Cardiovascular Disease in Port Richmond / Nicole Aylmer, Nada Metwally, and Robin Santoro -- 53 The Dakota Access Pipeline: Litigating the Dispute / Vanessa Dailey -- Section IV: Critical Essays -- Full Length Papers -- 79 Luca Pacioli, The Father of Accounting / Madison McNichol -- 88 Factors Influencing School Readiness / Cynedra Osinaike -- 111 Internalized Racism and Indoctrinated Religion: Alice Walker’s “Convergence” and The Color Purple / Madison J. Ruff -- 122 Thirty-Nine Million and Counting: The Role that Federalism Played in the HIV/AIDS Crisis / Daniel S. Smith -- 130 Gregor Samsa and Marx’s Alienation of Labor / Rebecca Martin -- 138 Why Adults are Allowed to Say Children Are Best Kept Out of Sight and Out of Mind: A Study on Adult Focused Therapy for Survivors of Domestic Violence and Human Trafficking / Kelly Glenn
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